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Anticipations on future monetary policy and risk aversion linked to systemic threats create investment opportunities on the yield curves of US and Euro bonds. However, those opportunities cannot be seized before two fundamental questions have been (...)
Based on the experiences of recent years, there are few stock markets that are more risky than Russia’s. After the Brazilian and South African market, the Russian market has been the most sensitive to increasing risk aversion among investors since the market correction of (...)
The Bangladesh Fund offers global investors access to the Equity (DSE-Dhaka Stock Exchange) and Fixed Income markets of Bangladesh, one of the fastest growing economies in the world with GDP growth consistently above 5% since 1990, with growth currently around (...)
Amongst the three French banks under pressure, only BNP Paribas has played the card of full transparency ...
Over the 12 months, the market for Cat bonds - bonds issued by securitization structure to refinance insurance risks related to natural disaster - remains dynamic, both in terms of volume and performance...
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