Financial Market Trends focuses on financial markets and structural issues in the financial sector. This includes financial market regulation, bond markets and public debt management, insurance and private pensions, as well as financial statistics.
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.
Long-term capital is in short supply and has become increasingly so since the 2008 financial crisis. This has profound implications for growth and financial stability. The OECD is exploring these issues in depth.