ICMA publishes Quarterly Report for the Third Quarter of 2022

20 July 2022

Corporate bond market liquidity; sovereign debt vulnerabilities....

The Foreword to the ICMA Quarterly Report for the Third Quarter of 2022 is by Bryan Pascoe, ICMA’s Chief Executive. The Quarterly Assessment is on international capital markets in a time of economic shocks. There are international capital market features: on corporate bond market liquidity; on Hong Kong SFC conduct requirements for  bookbuilding and placing; on sovereign debt vulnerabilities; on the GMRA clause taxonomy and library project; and on diversity and inclusion measures at the Bank of England and on Womenomics. The Quarterly Report also includes international capital market practice and regulatory updates on the primary markets, secondary markets, repo and collateral markets, sustainable finance, asset management, FinTech, and the transition from LIBOR to risk-free rates, as well as contributions from China and from Frontclear.

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