11th International Conference on Sovereign Bond Markets
Banca d'Italia organizes the 11th International Conference on Sovereign Bond Markets, to be held at the Venice Branch of Banca d'Italia on 10-11 June 2025. The conference this year focuses on "Sovereign Bond Markets: Sailing in Calm and Stormy Waters". Co-organizers include the Bank of Canada, the Deutsche Bundesbank, the European Central Bank, Imperial College/Brevan Howard Centre for Financial Analysis, the Leibniz Institute for Financial Research SAFE, London Business School/AQR Asset Management Institute, and the NYU Stern/Volatility and Risk Institute.
Papers should be submitted by December 15, 2024. Acceptance will be notified by February 1 2025. For further information, please see the call for papers.
Annexes
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10 June 2025
Speech by Paolo Angelini, Deputy Governor of Banca d'Italia - Conference on "Sovereign debt markets: post-pandemic developments and challenges" - Venice, 10 June 2025