BIBLIOTECA MANUEL BELGRANO - Facultad de Ciencias Económicas - UNC

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Advances in risk management of government debt / edited by Hans J. Blommestein.

Colaborador(es): Tipo de material: TextoTextoDetalles de publicación: Paris : OECD, 2005Descripción: 281 p. ilISBN:
  • 9264104410
Tema(s): Clasificación CDD:
  • 336.36
Contenidos:
Publicado en francés bajo el título: Progrs̈ en gestion des risques de la dette publique. Incluye referencias bibliográficas. Donación OCDE
TABLA DE CONTENIDO: Pt. 1. Introductionary overview and analytical framework: 1. Introduction to advances in risk management of government debt / Hans Blommestein -- Annex 1.A. Optimal debt and strategic benchmark: the risk management approach to debt sustainability -- 2. Overview of risk management practices in OECD countries / Hans Blommestein -- 3. Analytical framework for debt and risk management / Lars Risbjerg and Anders Holmlund -- Annex 3.A. Structure of debt simulation model -- Pt. 2. Recent developments in managing market risk, operational risk and contingent liability risk: 4. Recent developments in the management of market risk / Ove Sten Jensen and Lars Risbjerg -- 5. Management of operational risk by sovereign debt management agencies / Peter McCray -- Annex 5.A. Sovereign debt management operational risk survey: summary of responses -- Annex 5.B. OECD working party on government debt management survey on operational risk 2002 -- 6. Explicit contingent liabilities in debt management -- Pt. 3. Risk management practices in selected OECD debt markets: 7. Risk management of government debt in Austria / Paul A. Kocher and Gerald Nebenführ -- 8. Risk management of government debt in Belgium / Jean Deboutte and Bruno Debergh -- 9. Managing risks in Canada's debt and foreign reserves / Pierre Gilbert, Zar Chi Tin and Mark Zelmer -- Annex 9.A. Investment and credit guidelines for the exchange fund account -- 10. Risk management of government debt in Denmark / Lars Risbjerg -- Annex 10.A. The scenario and CaR model -- Annex 10.B. Principles for credit risk management -- 11. Risk management of government debt in Finland / John Rogers -- 12. Risk management of government debt in France / Bertrand de Mazieres and Benoit Coeure -- 13. Rosk managemnt of government debt in Portugal / Rita Granger -- Annex 13.A. Benchmarking for public debt management -- 14. Risk management of government debt in Sweden / Per-Olof Jn̲sson -- 15. Risk management of government debt in the United Kingdom / Toby Davies -- Annex 15.A. DMO functional structure -- 16. Risk management of government debt in the Czech Republic / Petr Pavelek -- Annex 16.A. Government debt management regulations -- 17. Risk management of government debt in Poland / Arkadiusz Kaminski and Marek Szczerbak -- List of boxes -- List of figures -- List of tables.
Existencias
Tipo de ítem Biblioteca actual Signatura topográfica URL Estado Fecha de vencimiento Código de barras
Libro Libro Biblioteca Manuel Belgrano OCDE 336.36 A 49166 (Navegar estantería(Abre debajo)) Enlace al recurso Disponible 49166

Publicado en francés bajo el título: Progrs̈ en gestion des risques de la dette publique. Incluye referencias bibliográficas. Donación OCDE

Publicado en francés bajo el título: Progrs̈ en gestion des risques de la dette publique. Incluye referencias bibliográficas. Donación OCDE

TABLA DE CONTENIDO: Pt. 1. Introductionary overview and analytical framework: 1. Introduction to advances in risk management of government debt / Hans Blommestein -- Annex 1.A. Optimal debt and strategic benchmark: the risk management approach to debt sustainability -- 2. Overview of risk management practices in OECD countries / Hans Blommestein -- 3. Analytical framework for debt and risk management / Lars Risbjerg and Anders Holmlund -- Annex 3.A. Structure of debt simulation model -- Pt. 2. Recent developments in managing market risk, operational risk and contingent liability risk: 4. Recent developments in the management of market risk / Ove Sten Jensen and Lars Risbjerg -- 5. Management of operational risk by sovereign debt management agencies / Peter McCray -- Annex 5.A. Sovereign debt management operational risk survey: summary of responses -- Annex 5.B. OECD working party on government debt management survey on operational risk 2002 -- 6. Explicit contingent liabilities in debt management -- Pt. 3. Risk management practices in selected OECD debt markets: 7. Risk management of government debt in Austria / Paul A. Kocher and Gerald Nebenführ -- 8. Risk management of government debt in Belgium / Jean Deboutte and Bruno Debergh -- 9. Managing risks in Canada's debt and foreign reserves / Pierre Gilbert, Zar Chi Tin and Mark Zelmer -- Annex 9.A. Investment and credit guidelines for the exchange fund account -- 10. Risk management of government debt in Denmark / Lars Risbjerg -- Annex 10.A. The scenario and CaR model -- Annex 10.B. Principles for credit risk management -- 11. Risk management of government debt in Finland / John Rogers -- 12. Risk management of government debt in France / Bertrand de Mazieres and Benoit Coeure -- 13. Rosk managemnt of government debt in Portugal / Rita Granger -- Annex 13.A. Benchmarking for public debt management -- 14. Risk management of government debt in Sweden / Per-Olof Jn̲sson -- 15. Risk management of government debt in the United Kingdom / Toby Davies -- Annex 15.A. DMO functional structure -- 16. Risk management of government debt in the Czech Republic / Petr Pavelek -- Annex 16.A. Government debt management regulations -- 17. Risk management of government debt in Poland / Arkadiusz Kaminski and Marek Szczerbak -- List of boxes -- List of figures -- List of tables.

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