Managing financial risks in Papua New Guinea : an optimal external debt portfolio
Year of publication: |
1991-08-31
|
---|---|
Authors: | Coleman, Jonathan R. ; Qian, Ying |
Institutions: | Economics Research, World Bank Group |
Subject: | Economic Theory&Research | Environmental Economics&Policies | Public Sector Economics&Finance | Settlement of Investment Disputes | Strategic Debt Management |
-
Occhiolini, Michael, (1990)
-
Deriving developing country repayment capacity from the market prices of sovereign debt
Claessens, Stijn, (1992)
-
Policy mix, public debt management, and fiscal rules - lessons from the 2002 Brazilian crisis
Herrera, Santiago, (2005)
- More ...
-
Managing financial risks in Papua New Guinea : an optimal external debt portfolio
Coleman, Jonathan Roger, (1991)
-
Managing financial risks in Papua New Guinea : an optimal external debt portfolio
Coleman, Jonathan Roger, (1993)
-
Managing financial risks in Papua New Guinea : an optimal external debt portfolio
Coleman, Jonathan Roger, (1991)
- More ...