Updated 20 December 2016 | URL for this page: www.oecd.org/daf/fmt
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The articles in Financial Market Trends focus on trends, structural issues and developments in financial markets and the financial sector. Comments and questions should be addressed to fmt@oecd.org. |
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Financial Market Trends No. 111 Volume 2016/2
Financial Market Trends No. 110 Volume 2016/1
Financial Market Trends No. 109 Volume 2015/2
- Evaluating capital flow management measures used as macro-prudential tools
- Financial risks in the low-growth, low-interest rate environment
- Reducing and sharing the burden of bank failures
Financial Market Trends No. 108 Volume 2015/1
- Opportunities and limitations of public equity markets for SMEs
- Finance and climate: The transition to a low-carbon and climate-resilient economy from a financial sector perspective
- Financial instruments for managing disaster risks related to climate change
Financial Market Trends No. 107 Volume 2014/2
Financial Market Trends No. 106 Volume 2014/1
Financial Market Trends No. 105 Volume 2013/2
Financial Market Trends No. 104 Volume 2013/1
Financial Market Trends No. 103 Volume 2012/2
Financial Market Trends No. 102 Volume 2012/1
Financial Market Trends No. 101 Volume 2011/2
Financial crisis management and the use of government guarantees (PDF compilation of all articles)
Current issues in financial markets
Debt management and bond markets
Financial Market Trends No. 100 Volume 2011/1
SPECIAL SUPPLEMENT: Five decades at the heart of financial modernisation – The OECD and its Committee on Financial Markets
Long-term investment and growth
Current issues in financial markets
Debt management and bond markets
Financial Market Trends No. 99 Volume 2010/2
Financial Market Trends No. 98 Volume 2010/1
Financial Market Trends No. 97 Volume 2009/2
Financial Market Trends No. 96 Volume 2009/1
Current Issues in Financial Markets: The Crisis and Policy Challenges
Pensions, Ageing and Financial Markets
Debt Management, Bond Markets and Stock Exchanges
Financial Market Trends No. 95 Volume 2008/2
Financial Turmoil
Pensions, Ageing and Financial Markets
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Ageing and the Payout Phase of Pensions, Annuities and Financial Markets
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Challenges for Financial Intermediaries Offering Asset Decumulation Products
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Revisiting the Asset Meltdown Hypothesis
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Pension Fund Governance – Challenges and Potential Solutions
Debt Management, Bond Markets and Financial Statistics
Financial Market Trends No. 94 Volume 2008/1
Financial turmoil
Sovereign Wealth and Pension Funds
Debt Management
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Use of Derivatives in Debt Management and Domestic Debt Market Development: Key Conclusions
Financial Market Trends No. 93 Volume 2007/2
- Financial Markets Highlights
- Current Issues in Financial Markets
– Financial Markets Highlights
– Structured Products: Implications for Financial Markets - Institutional Investors and Emerging Markets
– Selected Questions Regarding Hedge Funds
– Institutional Investors and Corporate Governance in Latin America: Challenges, Promising Practices and Recommendations
– Collective Pension Funds: International Evidence and Implications for China’s Enterprise Annuities Reform
– Indian Financial System Reform: Selected Issues - Bond Markets – Public Debt Management and the Evolving Market for (Ultra-)Long Government Bonds
Financial Market Trends No. 92 Volume 2007/1
Financial Market Trends No. 91, November 2006
- Highlights of Recent Trends in Financial Markets
- Financial System Reform in China: Discussions with Chinese Authorities
- The SME Financing Gap: Theory and Evidence
- Factors behind Low Long-Term Interest Rates
- The Impact of Pension Funds on Financial Markets
- OECD Guidelines on Pension Fund Asset Management
- Financial Wealth Accumulated under Funded Pension Arrangements
Financial Market Trends No. 90, April 2006
- Highlights of Recent Trends in Financial Markets
- The Financial Policy Landscape: A Conceptual Overview
- Risk Capital in OECD Countries: Past Experience, Current Situation and Policies for Promoting Entrepreneurial Finance
- Pension Fund Demand for High-Quality Long-Term Bonds
- The OECD Global Pension Statistics Project: Overview of the Financial Wealth Accumulated Under Funded Pension Arrangements
- Highlights of OECD Financial Outreach Activities in 2005
Financial Market Trends No. 89, November 2005
- Highlights of Recent Trends in Financial Markets
- Governance of banks in China
- Improving financial literacy: Principles, Programmes, Good Practices
- The aggregate and structural impact of ageing on financial markets: Some quantitative assessments
- Pension funds for government workers in OECD countries
- Recommendation on guidelines for insurers governance
- Pension statistics indicators
Ageing and pension system reform: implications for financial markets and economic policies, Supplement to Financial Market Trends
Financial Market Trends No. 88, March 2005
Financial Market Trends No. 87, October 2004
Financial Market Trends No. 86, March 2004
- Highlights of Recent Trends in Financial Markets
- The Performance of Financial Groups in the Recent Difficult Environment
- Ageing and Financial Markets
- A Note on Benefit Security
- Insurance and Financial Market Issues Related to the Management of Large-Scale Disasters
- OECD Financial Outreach Activities in 2003
Financial Market Trends No. 85, November 2003
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The Integration of the Corporate Bond and Commercial Loan Markets
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Prospects for Stock Exchanges
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Major Policy Challenges in Developing Exchanges in Emerging Economies
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Insurance and Expanding Systemic Risks
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Insurance Statistics
Financial Market Trends No. 84, April 2003
- Highlights of Recent Trends in Financial Markets
- The Health of Financial Institutions during the recent Bear Market
- Pension Reform and Financial Markets: The Impact of the Post-2000 Downturn
- European Banking and Stock Market Integration
- Convergence in Euro Area Government Debt Markets
Financial Market Trends No. 83, November 2002
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“Prudent Person Rule” Standard for the Investment of Pension Fund Assets
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Private Annuity Markets
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Guidelines for Pension Fund Governance
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Increases in Investment in the 1990s: the Role of Output, Cost of Capital and Finance?
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Decision of the Council on the Exchange of Information on Reinsurers
Financial Market Trends No. 82, June 2002
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Recent Privatisation Trends in OECD Countries
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Risk Capital in OECD Countries: Recent Developments and Structural Issues
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Experiences with the Resolution of Weak Financial Institutions in the OECD Area
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Risk Transfer Mechanisms: Converging Insurance, Credit and Capital Markets
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Insurance Statistics
Financial Market Trends No. 81, April 2002
Financial Market Trends No. 80, September 2001
- Highlights of Recent Trends in Financial Markets
- Institutional Investors; Recent Trends and Statistics – Institutional Investors in Asia – Collective Investment Schemes in Japan and other Asian Countries
- The Evolution of Pension Systems in Eastern Europe and Central Asia: Opportunities, Constraints, Dilemmas and Emerging Practices
- Portfolio Regulation of Life Insurance Companies and Pension Funds – Statistics Update
Financial Market Trends No. 79, June 2001
- Highlights of Recent Trends in Financial Markets
- Recent Privatisation Trends
- Special Focus: The Contribution of the Financial Sector to Sustainable Development – Policies to Enhance Sustainable Development – Financial Markets and Sustainable Development – The Role of Insurance in Sustainable Development – Foreign Direct Investment and Sustainable Development
- Fifteen Principles for the Regulation of Private Occupational Pension Schemes
- The Institutional and Policy Environment for Investment in Russia
- Insurance Statistics