Financial Market Developments and Conditions in Asia


Date of publication
11 January 2022


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11 January 2022 - This report examines global financial market conditions with a focus on Asian markets. It assesses the implications for financial market conditions of rising inflation and prospects of exit from highly accommodative monetary policies. It also discusses important downside risks and vulnerabilities in the financial system amid strained conditions in certain Asian market segments, by focusing alternatively on non-investment grade corporates, the real estate finance sector, the banking sector, the sovereign sector in emerging Asian economies and the rising importance of alternative finance markets, such as crypto-assets and sustainable finance, including to assess risk implications.





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