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language:"slv"
type:"article"
~isPartOf:"Debt management and government securities markets in the 21st century"
~language:"eng"
~person:"Blommestein, Hans J."
~subject:"OECD countries"
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Blommestein, Hans J.
Søgaard Holm, Birgitte
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Debt management and government securities markets in the 21st century
Financial market trends
16
Institutional investors in the new financial landscape : [papers presented at the second expert meeting sponsored by the Committee on Financial Markets of the OECD and held at Paris, on July 7-8, 1997]
3
Corporate governance, financial markets and global convergence
2
Advances in risk management of government debt
1
Capital market development in transition economies : country experiences and policies for the future : [Conference on the Development of Securities Markets in Central and Eastern Europe and Russia in Paris on 20 - 21 October 1997]
1
Coordinating public debt and monetary management : institutional and operational arrangements
1
Sovereign debt and the financial crisis : will this time be different?
1
The future of sovereign borrowing in Europe
1
The new financial landscape : forces shaping the revolution in banking, risk management and capital markets
1
Threat of fiscal dominance? : a BIS/OECD workshop on policy interactions between fiscal policy, monetary policy and government debt management after the financial crisis, Basel, 2 December 2011
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Overview of trends and recent changes in the structure of OECD public debt markets and debt management operations
Blommestein, Hans J.
- In:
Debt management and government securities markets in …
,
(pp. 9-49)
.
2002
Persistent link: https://www.econbiz.de/10001725555
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2
The role and structure of debt management offices
Kalderén, Lars
;
Blommestein, Hans J.
- In:
Debt management and government securities markets in …
,
(pp. 101-133)
.
2002
Persistent link: https://www.econbiz.de/10001725676
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