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OECD’s work on finance and investment focuses on policies and global rules covering anticorruption, corporate governance, competition, investment, financial markets, insurance, private pensions, and responsible business conduct. More information about this thematic collection
This report provides an overview of Czechia's public investment system across levels of government. It offers analysis and recommendations for strengthening institutional capabilities at the national and subnational levels for planning,...
This paper presents a technical assessment of nature-related risks within the Hungarian economy and financial system. The study draws upon the OECD Supervisory Framework to (i) prioritise various nature-related risks by conducting an impact and...
Subnational governments face a range of fiscal risks, defined as events whose realisation leads to significant deviations of revenue and/or expenditure from budgeted amounts. Fiscal risks reflect unforeseen macroeconomic developments, as well as...
Corporate Tax Statistics 2023, a flagship publication of the OECD, provides comprehensive insights into corporate tax systems and the tax and economic activities of thousands of multinational enterprises operating around the world.
What are the impacts and consequences of the coronavirus pandemic on our lives and our societies - our healthcare systems, our jobs and education, our businesses, financial markets and economies.