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April 2015 EM Coincident Indicator

The IIF EM Coincident Indicator declined further in April to 1.6% (from a revised 1.9% in March), continuing the downward trend since last autumn. Thi

IIF Dispatch: Update from Jakarta

Much of the discussion, both on the stage and in the corridor, at our Asia Summit in Jakarta this week centered around Indonesia's disappointing 4.7%

May 2015 Capital Markets Monitor Chartbook

Liquidity-fueled Chinese, Euro Area and Japanese equities have been this year's star performers, while high-grade bonds have underwhelmed; higher oil

May Global Regulatory Update

This month's IIF Global Regulatory Update provides updates on current work streams in regulatory capital, liquidity, accounting, disclosure, insurance

Weekly Insight: Bond Market Blues

Oil-too much too soon? Global Growth-not yet much better in Q2 Indonesia-looking for a rebound Brazil-no pain no gain Saudi Stock Market Opens to

Hungary: Shooting for Investment Grade

Growth is projected to slow this year on account of weaker investment and less supportive fiscal conditions.' With public debt remaining high, the imp

IIF RWA Task Force responds to EBA Paper 'The future of the IRB approach'

In its response, the IRTF supports the work of the EBA aimed at enhancing the robustness and comparability of the internal risk estimates and capital

April 2015 Trends in Investment Fund Portfolio Allocation

Global mutual fund and ETF investors have increased exposure to emerging markets: 1,2 After touching their lowest level in more than six years in Marc

Joint Associations' Letter to GHOS and BCBS on FRTB

The joint associations (IIF, ISDA, GFMA) sent a letter to the Governors and Heads of Supervision (GHOS) and the Basel Committee on Banking Supervision

May 2015 Global Economic Chartbook

The May edition of the IIF Global Economic Chartbook summarizes our current views on the global economy, drawing on our latest Global Economic Monitor



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