U.S.| Heightened Bond Liquidity Risk is the New Normal
Published on Thursday, September 10, 2015 | Updated on Friday, September 11, 2015
U.S.| Heightened Bond Liquidity Risk is the New Normal
Summary
The presentation addresses how the post-financial crisis risk perception, tighter regulations, and the high frequency trading have transformed the dynamics of bond market liquidity.
Geographies
- Geography Tags
- Global
Topics
Tags
Authors
Shushanik Papanyan
Documents and files
Warning: Invalid argument supplied for foreach() in /var/www/html/wp-content/themes/bbvaresearch/single.php on line 834