Global Debt Report 2024
Bond Markets in a High-Debt Environment
The Global Debt Report examines sovereign and corporate debt markets, providing insights into current market conditions and associated policy considerations, including possible financial stability risks. This first edition consolidates the Sovereign Borrowing Outlook, previously a separate OECD publication, and introduces new chapters on corporate bond markets and sustainable bonds.
Chapter 1 provides an overview of sovereign borrowing globally and an outlook for OECD countries, with a focus on the impact of recent developments in funding conditions and changes to the investor base. Chapter 2 explores global corporate bond market dynamics, build-up of risks and vulnerabilities and the impact of a changing macrofinancial landscape. Chapter 3 looks at trends in global sustainable bond markets and discusses policy considerations such as the sustainability premium, the roles of service providers and market liquidity.
Also available in: French
Foreword
This is the first edition of the annual Global Debt Report, which examines sovereign and corporate bond markets, providing insights into current market conditions and associated policy considerations. It consolidates the Sovereign Borrowing Outlook, previously a standalone OECD publication, with chapters on corporate bond markets and sustainable bonds. The report draws from original OECD survey data provided by national authorities as well as OECD analysis of both commercial and public data sources.
Also available in: French
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