The quarterly Asia Bond Monitor reviews developments in emerging East Asian local currency bond markets. The report discusses key trends in the region's bond markets, and the outlook, risks, and policy options. It covers the 10 members of the Association of Southeast Asian Nations and the PRC; Hong Kong, China; and the Republic of Korea.
The theme chapter of this issue of the
Asia Bond Monitor investigates the effect of bond market development on the risk-taking decisions of banks. Using bank-level data from developing markets around the world, the analysis finds that a well-functioning capital market can contribute to the soundness of the banking sector: bond market development reduces banks' risks and supports credit creation.
In addition, this issue examines the results of the AsianBondsOnline Annual Bond Market Liquidity Survey. It includes discussion boxes on PRC-US trade tensions and reform of the London Interbank Offered Rate.