000 | 03737nam a2200409 a 4500 | ||
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001 | EBC514776 | ||
003 | MiAaPQ | ||
005 | 20250214125405.0 | ||
006 | m o d | | ||
007 | cr cnu|||||||| | ||
008 | 050815s2005 fr a ob 000 0 eng d | ||
020 |
_a9789264104433 _q(electronic bk.) |
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020 |
_z9789264104419 _q(print) |
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035 | _a(MiAaPQ)EBC514776 | ||
035 | _a(Au-PeEL)EBL514776 | ||
035 | _a(CaPaEBR)ebr10244933 | ||
035 | _a(CaONFJC)MIL35772 | ||
035 | _a(OCoLC)69405860 | ||
040 |
_aMiAaPQ _beng _erda _epn _cMiAaPQ _dMiAaPQ |
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050 | 4 |
_aHD61 _b.A383 2005 |
|
082 | 0 | 4 | _a658.155 |
082 | 0 |
_a336.3433177 _222 |
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084 |
_a83.52 _2bcl |
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245 | 0 | 0 |
_aAdvances in risk management of government debt _h[electronic resource]. |
260 |
_aParis : _bOECD, _cc2005. |
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300 |
_a281 p. : _bill. (some col.). |
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504 | _aIncludes bibliographical references. | ||
505 | 2 | 0 |
_gpt. 1. Introductory overview and analytical framework. _tIntroduction to advances in risk management of government debt _r/ by Hans Blommestein -- _tOverview of risk management practices in OECD countries _r/ by Hans Blommestein -- _tAnalytical framework for debt and risk management _r/ by Lars Risbjerg and Anders Holmlund _g-- pt. 2. Recent developments in managing market risk, operational risk and contigent liability risk. _tRecent developments in the management of market risk _r/ by Ove Sten Jensen and Lars Risbjerg -- _tManagement of operational risk by sovereign debt management agencies _r/ by Peter McCray -- _tExplicit contigent liabilities in debt management _g-- pt. 3. Risk management practices in selected OECD debt markets. _tRisk management of government debt in Austria _r/ by Paul A. Kocher and Gerald Nebenfuhr -- _tRisk management of government debt in Belgium _r/ by Jean Deboutte ad Bruno Debergh -- _tManaging risks in Canada's debt and foreign reserves _r/ by Pierre Gilbert, Zar Chi Tin and Mark Zelmer -- _tRisk management of government debt in Denmark _r/ by Lars Risbjerg -- _tRisk management of government debt in Finland _r/ by John Rogers -- _tRisk management of government debt in France _r/ by Bertrand de Mazieres and Benoit Coeure -- _tRisk management of government debt in Portuga _rl / by Rita Granger -- _tRisk management of government debt in Sweden _r/ by Per-Olof Jonsson -- _tRisk management of government debt in the United Kingdom _r/ by Toby Davies -- _tRisk management of government debt in the Czech Republic _r/ by Peter Pavelek -- _tRisk management of government debt in Poland / by Arkadiusz Kaminski and Marek Szczerbak. |
520 | _aRisk management has become an increasingly important tool for achieving strategic debt targets, and is now an integral part of a wider strategic debt management framework based on benchmarks in most jurisdictions. However, this study shows that the extent and sophistication of risk management vary widely across countries. This study brings together a number of recent reports on best practices for managing market risk, credit risk, operational risk and contingent liability risk. It was prepared by a group of authors from the OECD Working Party on Public Debt Management, and includes case-studies of risk management practices in selected OECD debt markets.--Publisher's description. | ||
590 | _aElectronic reproduction. Ann Arbor, MI : ProQuest, 2018. Available via World Wide Web. Access may be limited to ProQuest affiliated libraries. | ||
650 | 0 |
_aDebts, Public _zOECD countries. |
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655 | 4 | _aElectronic books. | |
710 | 2 | _aOrganisation for Economic Co-operation and Development. | |
710 | 2 | _aProQuest (Firm) | |
797 | 2 | _aProQuest (Firm) | |
856 | 4 | 0 |
_uhttp://ebookcentral.proquest.com/lib/daystar-ebooks/detail.action?docID=514776 _zClick to View |
999 |
_c237751 _d237750 |