Financial Market Trends

1609-6886 (online)
0378-651X (print)
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OECD’s twice-yearly journal providing timely analyses and statistics on financial matters of topical interest and longer-term developments in specific financial sectors. Each issue provides a brief update of trends and prospects in the international and major domestic financial markets along with articles covering such topics as structural and regulatory developments in OECD financial systems, trends in foreign direct investment, trends in privatization, and financial sector statistics covering areas such as bank profitability, insurance, and institutional investors.

Periodically, a small number of articles within one field of financial sector developments – constituting the so-called special focus for the particular issue – may be included.


Volume 2001, Issue 1 You do not have access to this content

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OECD's journal on financial markets.  In addition to reviewing recent trends, this issue includes articles on prospects for national capital markets, government systems for collective investment schemes, moral hazard, and new financial statistics.

Table of Contents

1. Highlights of Recent Trends in Financial Markets
2. Future Prospects for National Capital Markets and Trading Centres
3. Government Systems for Collective Investment Schemes in OECD Countries
4. Moral Hazard and International Financial Crises in the 1990s
5. New Financial Statistics
-Government Debt
-Bank Profitability

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