Partager

Derniers documents


  • 27-February-2024

    English

    31st OECD Global Forum on Public Debt Management

    31st OECD Global Forum on Public Debt Management

    Related Documents
  • 1-February-2024

    English

    OECD-FSC-KIF Roundtable on Digital Finance in ASEAN

    OECD-FSC-KIF Roundtable on Digital Finance in ASEAN

    Related Documents
  • 16-January-2024

    English

    Workshop on Integrity, Sustainability and Transparency in the Financial System

    This workshop series addresses foundational issues of financial system integrity, including countering financial crime and promoting robust risk management, as well as important emerging trends such as the monitoring and disclosure of sustainability, climate and other Environmental, Social and Governance (ESG) risks in financial portfolios, products and services.

    Related Documents
  • 14-December-2023

    English

    OECD/INFE 2023 International Survey of Adult Financial Literacy

    OECD/INFE 2023 International Survey of Adult Financial Literacy

    Related Documents
  • 14-December-2023

    English

    2023 OECD-OJK Roundtable on Leveraging Technology for Risk Assessment and Risk Reduction in Insurance

    14-15 December 2023, Bali-Indonesia. This event will discuss the findings from an OECD report on leveraging technology for risk assessment and risk reduction in insurance.

    Related Documents
  • 6-December-2023

    English, PDF, 1,251kb

    Annual survey on financial incentives for retirement savings PDF

    Annual survey on financial incentives for retirement savings

    Related Documents
  • 8-novembre-2023

    Français

    Les nouveaux investisseurs particuliers en France : Attitudes, connaissances et comportements

    Les nouveaux investisseurs particuliers en France

    Documents connexes
  • 8-November-2023

    English

    OECD Recommendation on Building Financial Resilience to Disaster Risks

    Adopted by the OECD Council on 23 February 2017, this Recommendation provides high-level policy guidance for designing a strategy for addressing the financial impacts of disasters on individuals, businesses and sub-national levels of governments, as well as the implication for public finances.

    Related Documents
  • 28-September-2023

    English

    A supervisory framework for assessing nature-related financial risks - Identifying and navigating biodiversity risks

    This paper presents a methodological supervisory framework to help central banks and financial supervisors assess biodiversity-related financial risks, impacts and dependencies in the financial sector, including transmission channels for physical and transition risks. This framework is designed to translate biodiversity risks into financial risks. It draws on a previous mapping of existing approaches, while also accounting for broader nature-related financial risks. While acknowledging different national circumstances, this methodological framework is designed to be applicable broadly for central banks, supervisors and commercial banks across different countries.
  • 27-September-2023

    English

    Financial competence framework for children and youth in the European Union

    Financial competence framework for children and youth in the European Union

    Related Documents
  • 1 | 2 | 3 | 4 | 5 | 6 | 7 | 8 | 9 | 10 > >>