LBS Conference on Asset Management (12/11/2010)
John Authers
* Is there really a risk free rate in the current economic situation?
* Is there an uncorrelated asset
Wall Street Journal Report
March 22nd, 2012
MONDAY
On Tuesday the market did extraordinarily well as news from the FOMC meeting, U.S. consumers and the banking system
Federal Reserve Paper
ECO 212
November 19, 2012
Peter Stewart
Federal Reserve Paper
Introduction
Within the walls of the United States of America we have what is
Quantitative Easing
The United State’s economic troubles, which strongly persist today in 2012, stem from issues dating back to the late 1990s. About a decade and a half
Conclusion
In conclusion, the Korean bond market is by far one of the most developed markets in Asia. With recent Credit Rating upgrades by Moody’s and Fitch on LT and ST
CAD/JPY
• I traded 30,500 units of CAD/JPY. 500 units of it bought at 79.90900 on 23rd, September, and closed at 79.49400 on 24th, September. 20,000 units of
Money Markets
Treasury Dealing Report
Executive summary
1. This report analyses and forecasts the past, present and future of Singapore’s money market situation. The
ANALYSIS OF POLICY RESPONSES TO THE FINANCIAL CRISIS OF 2007-2009
Introduction
In 2006, the United States was experiencing vast economic growth: the unemployment
A study on the impact of Global Currency Fluctuations. A special focus to Indian Rupee.
Title of the Industry Assignment
A study on the impact of Global
1.0 Introduction
India is emerging into an open-market economy by way of financial globalization process. Following Mishkin and Eakins (2012), this process happens
McKinsey Global Institute
November 2013
QE and ultra-low interest rates: Distributional effects and risks
Discussion paper
The McKinsey Global Institute