In the ICMA Quarterly Report, the Quarterly Assessment is about the transition away from LIBOR to risk-free rates in the bond market. The Quarterly Assessment is introduced in this podcast by ICMA's Paul Richards, Head of Market Practice and Regulatory Policy.
ICMA Quarterly Briefing, Q4 2022: Secondary Bond Market data
ICMA Quarterly Briefing, Q4 2022: CSDR Refit: the future of mandatory buy-ins
ICMA Quarterly Briefing, Q4 2022: EU post-trade transparency regime for sovereign and corporate bonds
ICMA Quarterly Briefing, Q4 2022: ICMA’s new Global Repo and Collateral Forum
ICMA Quarterly Briefing, Q4 2022: Understanding DLT and blockchain in bond markets
ICMA Quarterly Briefing, Q4 2022: Transparency in commercial paper markets
ICMA Quarterly Briefing, Q3 2022: Introduction
ICMA Quarterly Briefing, Q3 2022: International capital markets in a time of economic shocks
ICMA Quarterly Briefing, Q3 2022: Corporate bond market liquidity: ICMA response to IOSCO discussion paper
ICMA Quarterly Briefing, Q3 2022: Hong Kong SFC conduct requirements for bookbuilding and placing
ICMA Quarterly Briefing, Q3 2022: Sovereign debt vulnerabilities: new challenges ahead for debt workouts
ICMA Quarterly Briefing, Q3 2022: The GMRA clause taxonomy and library project
ICMA Quarterly Briefing, Q3 2022: Sustainable finance update
ICMA Quarterly Briefing, Q3 2022: Mid-cap bond markets in Europe
ICMA Quarterly Briefing, Q3 2022: ESAs’ advice on the PRIIPS review
ICMA Quarterly Briefing, Q3 2022: The appropriate EU bond market transparency regime framework
ICMA Quarterly Briefing, Q3 2022: Repo and collateral market developments
ICMA Quarterly Briefing, Q3 2022: Transition from LIBOR in the bond market
ICMA Social Bonds Podcast Series Episode 3: Corporates
ICMA Social Bonds Podcast Series Episode 2: Current state of the market
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