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Investor behaviour in Swedish bond markets

24/05/2024 3,3 MB -

Staff memo Investor behaviour in Swedish bond markets Mathias Andersson May 2024 2 Table of contents 1 Introduction 4 2 Investors’ holdings in growing bond markets 6 3 Investor behaviour during the first quarter

The interaction between fiscal policy and monetary policy, Analysis in Monetary Policy Report Sep 2025

23/09/2025 281,4 kB -

Monetary policy analysis 56 ANALYSIS – The interaction between fiscal policy and monetary policy Growing public debt in many countries highlights the interaction between fiscal and monetary policy. However, the situation varies

Monetary Policy Report February 2018

14/02/2018 795 kB -

Monetary Policy  Report  February 2018  Monetary Policy Report  The Riksbank’s Monetary Policy Report is published six times a year. The report  describes the deliberations made by the Riksbank when deciding what would be an  appropriate 

Monetary policy report October 2018

24/10/2018 1,8 MB -

Monetary Policy  Report  October 2018  Monetary Policy Report  The Riksbank’s Monetary Policy Report is published six times a year. The report  describes the deliberations made by the Riksbank when deciding what is an  appropriate monetary 

Bilder från presskonferensen den 10 februari 2021

10/02/2021 592,1 kB -

Riksbankens penningpolitik 10 februari 2021 Riksbankens åtgärder underlättar återhämtningen från pandemin Coronapandemin präglar utvecklingen Andra våg av smittspridning under hösten och vintern Nya restriktioner Vaccinationerna

Pass through at Mildly Negative Policy Rates The Swedish Case

22/01/2019 510,4 kB -

Staff memo Pass-through at Mildly Negative Policy Rates: The Swedish Case Henrik Erikson, David Vestin Monetary Policy Department January 2019 PASS-THROUGH AT MILDLY NEGATIVE POLICY RATES: THE SWEDISH CASE 1

The Riksbank's method for stress testing banks' liquidity, Staff memo

20/11/2019 1,3 MB -

Staff memo The Riksbank’s method for stress testing banks’ liquidity Mattias Danielsson Jonatan Manfredini Financial Stability Department November 2019 KÄNSLIG THE RIKSBANK’S METHOD FOR STRESS TESTING

A new indicator of risks and vulnerabilities, Appendix 2 Chart pack

28/05/2020 948,3 kB -

APPENDIX 2 CHART PACK – A NEW INDICATOR OF RISKS AND VULNERABILITIES IN THE SWEDISH FINANCIAL SYSTEM 1 Appendix 2 Chart pack Appendix 2 collects a chart pack of the variables that enter the five different sectoral indicators. Data is not

A time-varying equilibrium VAR model of the long-run real exchange rate

26/02/2020 652 kB -

Staff memo A time-varying equilibrium VAR model of the long-run real exchange rate Carl-Johan Belfrage Paolo Bonomolo Pär Stockhammar Monetary Policy Department February 2020 A time-varying equilibrium VAR

The Swedish derivative market

10/06/2021 1 MB -

Staff memo The Swedish derivative market Mats Levander, Carl-Johan Rosenvinge and Vanessa Sternbeck Fryxell June 2021 2 Contents 1 Introduction 4 2 The Swedish derivative market in figures 6 2.1 Comprehensive data on