Asia Bond Monitor – March 2023


Book Description

This publication reviews recent developments in East Asian local currency bond markets along with the outlook, risks, and policy options. It covers the 10 members of the Association of Southeast Asian Nations and the People’s Republic of China; Hong Kong, China; and the Republic of Korea.




Asia Bond Monitor November 2023


Book Description

This publication reviews recent developments in East Asian local currency bond markets along with the outlook, risks, and policy options. It covers the 10 members of the Association of Southeast Asian Nations and the People’s Republic of China; Hong Kong, China; and the Republic of Korea.




Asia Bond Monitor – June 2023


Book Description

This publication reviews recent developments in East Asian local currency bond markets along with the outlook, risks, and policy options. It covers the 10 members of the Association of Southeast Asian Nations and the People’s Republic of China; Hong Kong, China; and the Republic of Korea.




Asia Bond Monitor November 2021


Book Description

This publication reviews recent developments in East Asian local currency bond markets along with the outlook, risks, and policy options. It covers the 10 members of the Association of Southeast Asian Nations and the People's Republic of China; Hong Kong, China; and the Republic of Korea.




Asia Bond Monitor - March 2021


Book Description

This edition reviews financial conditions in East Asia and risk implications to the global economic recovery, including the coronavirus disease (COVID-19) vaccine rollouts and liquidity conditions in regional bond markets. Emerging East Asia's local currency bond market rose to an aggregate size of $20.1 trillion at the end of December 2020. Buoyed by a better economic outlook, financial conditions improved. Environmental, social, and governance bonds in ASEAN+3 markets also grew to over $265 billion. Meanwhile, the AsianBonds Online annual bond market liquidity survey results showed liquidity conditions diverged across regional markets in 2020.




Asia Bond Monitor June 2021


Book Description

This edition finds improvements in emerging East Asian bond markets despite the resurgence of coronavirus disease (COVID-19) cases in early 2021. Yet, uncertainties continue to influence economic outlook in Asia and the Pacific. Overall investment sentiment in the region remained subdued amid looming uncertainties in the fight against COVID-19 and inflationary pressure in the United States (US). Yet, there is increasing awareness within the region of the importance of a green and inclusive recovery. Also featured in this edition are the use of green sukuk (Islamic bonds) to fund environment-friendly investments and digital finance for sustainable investments. The theme chapter discusses developments on the public and private governance of sustainable finance.




Asia Bond Monitor March 2022


Book Description

This publication reviews recent developments in East Asian local currency bond markets along with the outlook, risks, and policy options. It covers the 10 members of the Association of Southeast Asian Nations and the People’s Republic of China; Hong Kong, China; and the Republic of Korea.




Asia Bond Monitor September 2022


Book Description

This publication reviews recent developments in East Asian local currency bond markets along with the outlook, risks, and policy options. It covers the 10 members of the Association of Southeast Asian Nations and the People’s Republic of China; Hong Kong, China; and the Republic of Korea.




Asia Bond Monitor – September 2023


Book Description

This publication reviews recent developments in East Asian local currency bond markets along with the outlook, risks, and policy options. It covers the 10 members of the Association of Southeast Asian Nations and the People’s Republic of China; Hong Kong, China; and the Republic of Korea.




Asia Bond Monitor


Book Description

The Asia Bond Monitor (ABM) reviews the development of East Asian local currency bond markets. It examines market size and composition, market liquidity, investor profile, and returns and volatility. Recent policy reforms and challenges facing these markets are also highlighted.