Extent:
281 S
graph. Darst
Series:
Landmark study. - Paris, ZDB-ID 2199250-2. - Vol. 6
Type of publication: Book / Working Paper
Type of publication (narrower categories): Graue Literatur ; Non-commercial literature ; Amtsdruckschrift ; Government document
Language: English
Notes:
Enth. 17 Beitr.
Franz. Ausg. u.d.T.: Progrès en gestion des risques de la dette publique. - Auch als Onlineausg. erschienen
pt. 1. Introductory overview and analytical framework. Introduction to advances in risk management of government debt / by Hans Blommestein
pt. 1. Introductory overview and analytical framework.Introduction to advances in risk management of government debt/ by Hans Blommestein --Overview of risk management practices in OECD countries/ by Hans Blommestein --Analytical framework for debt and risk management/ by Lars Risbjerg and Anders Holmlund-- pt. 2. Recent developments in managing market risk, operational risk and contigent liability risk.Recent developments in the management of market risk/ by Ove Sten Jensen and Lars Risbjerg --Management of operational risk by sovereign debt management agencies/ by Peter McCray --Explicit contigent liabilities in debt management-- pt. 3. Risk management practices in selected OECD debt markets.Risk management of government debt in Austria/ by Paul A. Kocher and Gerald Nebenführ --Risk management of government debt in Belgium/ by Jean Deboutte ad Bruno Debergh --Managing risks in Canada's debt and foreign reserves/ by Pierre Gilbert, Zar Chi Tin and Mark Zelmer --Risk management of government debt in Denmark/ by Lars Risbjerg --Risk management of government debt in Finland/ by John Rogers --Risk management of government debt in France/ by Bertrand de Mazieres and Benoit Coeure --Risk management of government debt in Portugal / by Rita Granger --Risk management of government debt in Sweden/ by Per-Olof Jönsson --Risk management of government debt in the United Kingdom/ by Toby Davies --Risk management of government debt in the Czech Republic/ by Peter Pavelek --Risk management of government debt in Poland / by Arkadiusz Kaminski and Marek Szczerbak.
Overview of risk management practices in OECD countries / by Hans Blommestein
Analytical framework for debt and risk management / by Lars Risbjerg and Anders Holmlund
pt. 2. Recent developments in managing market risk, operational risk and contigent liability risk. Recent developments in the management of market risk / by Ove Sten Jensen and Lars Risbjerg
Management of operational risk by sovereign debt management agencies / by Peter McCray
Explicit contigent liabilities in debt management ; pt. 3. Risk management practices in selected OECD debt markets. Risk management of government debt in Austria / by Paul A. Kocher and Gerald Nebenführ
Risk management of government debt in Belgium / by Jean Deboutte ad Bruno Debergh
Managing risks in Canada's debt and foreign reserves / by Pierre Gilbert, Zar Chi Tin and Mark Zelmer
Risk management of government debt in Denmark / by Lars Risbjerg
Risk management of government debt in Finland / by John Rogers
Risk management of government debt in France / by Bertrand de Mazieres and Benoit Coeure
Risk management of government debt in Portugal / by Rita Granger
Risk management of government debt in Sweden / by Per-Olof Jönsson
Risk management of government debt in the United Kingdom / by Toby Davies
Risk management of government debt in the Czech Republic / by Peter Pavelek
Risk management of government debt in Poland / by Arkadiusz Kaminski and Marek Szczerbak.
ISBN: 92-64-10441-0
Classification: Finanzwissenschaft
Source:
ECONIS - Online Catalogue of the ZBW
Persistent link: https://www.econbiz.de/10003036442