Book Description
CD-ROM contains: Research and background information for the report.
Author :
Publisher : World Bank Publications
Page : 232 pages
File Size : 28,82 MB
Release : 2001
Category : Business & Economics
ISBN : 9780195216059
CD-ROM contains: Research and background information for the report.
Author : Asian Development Bank
Publisher : Asian Development Bank
Page : 69 pages
File Size : 45,31 MB
Release : 2017-06-01
Category : Business & Economics
ISBN : 9292578448
The Asian Bond Markets Initiative (ABMI) was launched in December 2002 by the Association of Southeast Asian Nations (ASEAN) and the People’s Republic of China, Japan, and the Republic of Korea---collectively known as ASEAN+3 to strengthen financial stability and reduce the region’s vulnerability to the sudden reversal of capital flows. This paper also provides recommendations for addressing new sources of market volatility and other challenges within and outside the framework of the Asian Bond Markets Initiative.
Author : Mr. Alfred Schipke
Publisher : International Monetary Fund
Page : 52 pages
File Size : 15,82 MB
Release : 2019-03-13
Category : Business & Economics
ISBN : 151358278X
China’s bond market is destined to play an increasingly important role, both at home and abroad. And the inclusion of the country’s bonds in global indexes will be a milestone for its financial market integration, bringing big opportunities as well as challenges for policymakers and investors alike. This calls for a good understanding of China’s bond market structure, its unique characteristics, and areas where reforms are needed. This volume comprehensively analyzes the different segments of China’s bond market, from sovereign, policy bank, and credit bonds, to the rapidly growing local government bond market. It also covers bond futures, green bonds, and asset-backed securities, as well as China’s offshore market, which has played a major role in onshore market development.
Author : Asian Development Bank
Publisher : Asian Development Bank
Page : 116 pages
File Size : 12,31 MB
Release : 2021-02-01
Category : Business & Economics
ISBN : 9292627139
Social bond markets have grown rapidly in Asia and around the world amid the coronavirus disease (COVID-19) pandemic. Today, the global social bond market is dominated by bonds that address pandemic-related social impact areas. To better understand the potential contribution of social bonds in tackling developing Asia’s most urgent social issues, this study reviews the current status and recent trends of global and Asian social bond markets. It further analyzes social impact areas that can be addressed by social bonds in both the short and long term. The study’s findings can help align finance with the Sustainable Development Goals and maximize the impact of the social bond market for sustainable development.
Author : International Monetary Fund
Publisher : International Monetary Fund
Page : 157 pages
File Size : 23,58 MB
Release : 2021-03-12
Category : Business & Economics
ISBN : 1513573926
This guidance note was prepared by International Monetary Fund (IMF) and World Bank Group staff under a project undertaken with the support of grants from the Financial Sector Reform and Strengthening Initiative, (FIRST).The aim of the project was to deliver a report that provides emerging market and developing economies with guidance and a roadmap in developing their local currency bond markets (LCBMs). This note will also inform technical assistance missions in advising authorities on the formulation of policies to deepen LCBMs.
Author :
Publisher : World Bank Publications
Page : 452 pages
File Size : 27,11 MB
Release : 2001-09-21
Category : Business & Economics
ISBN : 9780821349557
This handbook is a comprehensive and authoritative reference for both senior policymakers—those responsible for the development of government bond markets in their own countries—and all individuals responsible for guiding the market development process at the operational level—those who have a substantial need to understand the policy issues involved.
Author : Kiatchai Sophastienphong
Publisher : World Bank Publications
Page : 226 pages
File Size : 12,96 MB
Release : 2008
Category : Business & Economics
ISBN : 0821376020
The financial sectors in South Asia Region (SAR) are dominated by commercial banks, which account for the vast majority of the financial system's assets. The domestic debt markets including the government bond and corporate bond markets are at an early stage of development and there are few institutional investors. In recent years, countries in SAR have attempted to develop local debt markets, although the pace of development remains uneven and slow due to many regulatory and institutional impediments. With the notable exception of India, governments in SAR have yet to implement measures required for the proper development of the domestic bond markets. The book provides a comprehensive overview of the major bond markets in SAR (Bangladesh, India, Nepal, Pakistan and Sri Lanka) highlighting the areas which need further reforms. It is hoped that the book will contribute to our knowledge of bond markets in South Asian countries and create a broad based ownership of the recommendations made by the authors.
Author : Asian Development Bank
Publisher : Asian Development Bank
Page : 185 pages
File Size : 45,50 MB
Release : 2017-08-01
Category : Business & Economics
ISBN : 9292578782
ASEAN+3 Bond Market Guide is a comprehensive explanation of the region's bond markets. It provides information such as the history, legal and regulatory framework, specific characteristics of the market, trading and transaction (including settlement systems), and other relevant information. The Bond Market Guide 2017 for Indonesia is an outcome of the support and contributions of ASEAN+3 Bond Market Forum members and experts, particularly from Indonesia.
Author : Marlene Amstad
Publisher : Princeton University Press
Page : 504 pages
File Size : 30,98 MB
Release : 2020-11-17
Category : Business & Economics
ISBN : 0691205841
A comprehensive, in-depth, and authoritative guide to China's financial system The Chinese economy is one of the most important in the world, and its success is driven in large part by its financial system. Though closely scrutinized, this system is poorly understood and vastly different than those in the West. The Handbook of China’s Financial System will serve as a standard reference guide and invaluable resource to the workings of this critical institution. The handbook looks in depth at the central aspects of the system, including banking, bonds, the stock market, asset management, the pension system, and financial technology. Each chapter is written by leading experts in the field, and the contributors represent a unique mix of scholars and policymakers, many with firsthand knowledge of setting and carrying out Chinese financial policy. The first authoritative volume on China’s financial system, this handbook sheds new light on how it developed, how it works, and the prospects and direction of significant reforms to come. Contributors include Franklin Allen, Marlene Amstad, Kaiji Chen, Tuo Deng, Hanming Fang, Jin Feng, Tingting Ge, Kai Guo, Zhiguo He, Yiping Huang, Zhaojun Huang, Ningxin Jiang, Wenxi Jiang, Chang Liu, Jun Ma, Yanliang Mao, Fan Qi, Jun Qian, Chenyu Shan, Guofeng Sun, Xuan Tian, Chu Wang, Cong Wang, Tao Wang, Wei Xiong, Yi Xiong, Tao Zha, Bohui Zhang, Tianyu Zhang, Zhiwei Zhang, Ye Zhao, and Julie Lei Zhu.
Author : Olarn Chaipravat
Publisher : Institute of Southeast Asian Studies
Page : 44 pages
File Size : 12,8 MB
Release : 2005
Category : Business & Economics
ISBN : 9789812303141
This paper was delivered by Dr Olarn Chaipravat at a seminar jointly organised by the Institute of Southeast Asian Studies and the Saw Centre for Financial Studies in Singapore on September 30th 2004.