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Actualités & Evénements
Actualités
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12-déc.-2011
This report analyses the possible implications for public debt management practices arising from regulatory changes for over the counter derivatives (OTCD) that are being developed worldwide to strengthen the resiliency of the financial system.
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12-déc.-2011
This report shows that OECD governments are facing unprecedented challenges in the markets for government securities as a result of continued strong borrowing amid a highly uncertain environment with growing concerns about the pace of recovery, surging borrowing costs, sovereign risk and contagion pressures.
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03-févr.-2012
In-depth analysis from the OECD addresses the financial market dimension of sovereign debt challenges to assist policymakers in designing, adopting, and implementing appropriate policies.
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30-juin-2011
Cette publication analyse l'évolution et les tendances sur les marchés nationaux et internationaux de capitaux de la zone OCDE et au-delà. Elle fournit des examens réguliers des enjeux spécifiques liés aux développements dans les marchés financiers et dans le secteur financier. Disponible uniquement en anglais.
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12-août-2011
This report examines the interplay between banking competition and financial stability, taking into account the experiences of the recent global crisis and the policy response to date.
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05-août-2011
This statistical yearbook provides comprehensive and consistent information on African central government debt instruments. It includes individual country data but also comparative statistics to facilitate pan-African (cross-country) analysis.
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05-juil.-2011
The OECD and the government of South Africa opened the first African Debt Management and Bond Market Development Centre on 30 June 2011.
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30-juin-2011
OECD and the South African government have created a centre to encourage co-operation among African debt managers and to support the development of sound practices in public debt and cash management.
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16-févr.-2011
New restrictions on the short selling of sovereign debt have been proposed in response to major threats to financial market stability and market confidence. This article voices the concerns of debt managers that the proposed changes could push their borrowing costs up.
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03-févr.-2011
Europe has been beset by an interrelated banking crisis and sovereign debt crisis. Bond spreads faced by Greece and Ireland, and to a lesser extent Portugal followed by Spain, have increased. This paper explores these issues from the perspective of financial markets, focusing mainly on these 4 countries.
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Evénements
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du 19-janv.-2012 au 20-janv.-2012
This forum brought together public debt managers from around the world to discuss good practices, experiences, and policies in the field of government debt management and the development of government and corporate securities markets.
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du 05-mai-2011 au 06-mai-2011
Discussions at the forum focused on latest developments in global bond markets, including the impact of the financial crisis on market functioning and debt levels and other emerging issues.
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du 20-janv.-2011 au 21-janv.-2011
This forum is a round-table meeting where public debt managers from the OECD area discuss in an in-depth fashion OECD practices, experiences, and policies in the field of government debt management and the development of government and corporate securities markets with their counter-parts from non-OECD countries.
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du 04-oct.-2010 au 05-oct.-2010
This meeting took place in Paris and discussions at this meeting included: debt structure and risk metrics; crisis experiences and lessons for debt management from the OECD area; and the measurement of sovereign risk.
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du 05-mai-2010 au 07-mai-2010
This workshop, which took place on 5-7 May 2010 in Johannesburg, South Africa, provided an opportunity for African countries to discuss practical market-infrastructure issues which are of major concern for debt managers in the African debt markets.
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du 26-nov.-2009 au 27-nov.-2009
The 4th OECD Forum on African Public Debt Management was held on 26-27 November 2009. Discussions included the formulation and implementation of debt management strategy in a changing borowing environment and operational risk management.
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du 25-nov.-2009 au 26-nov.-2009
This Global Forum was held on 25-26 November 2009 at the OECD Conference Centre in Paris. It provided an overview of the highlights of the impact of the global financial crisis on funding needs and borrowing strategies in different regions; the new policy challenges with a focus on Asian debt managers, and on the urgent policy changes in the new borrowing landscape.
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du 24-juin-2009 au 26-juin-2009
The Third OECD Regional Workshop on African Debt Management and Bond Markets was held on 24-26 June 2009. The workshop provided another opportunity to African countries to discuss and debate practical market-infrastructure issues which are of major concern for debt managers in the African debt markets.
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du 04-déc.-2008 au 05-sept.-2008
This year the forum discussions focused on an exchange of information on ongoing activities regarding African Public Debt Management and Bond Markets, it took place in Paris, and was organised back-to-back with the 18th OECD Global Forum on Public Debt Management.
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du 03-déc.-2008 au 04-déc.-2008
Held in Paris back-to-back with the forum on African Public Debt Management, discussions focused on sovereign asset liability management, the use of short-term government paper and regional roundtables on challenges and opportunities for issuers in view of the credit/liquidity crisis.
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