Managing financial risks in indebted developing countries

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Last edited by MARC Bot
July 6, 2025 | History

Managing financial risks in indebted developing countries

This paper examines the types of market-related hedging instruments that could potentially be useful to indebted developing countries as they seek to manage the financial risks created by variability of the prices of external assets and commodities.

Publish Date
Language
English
Pages
47

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Book Details


Edition Notes

Includes bibliographical references (p. 46-47)
"June 1989."

Published in
Washington, D.C
Series
Occasional paper / International Monetary Fund ;, no. 65, Occasional paper (International Monetary Fund) ;, no. 65.

Classifications

Dewey Decimal Class
332.63/2/091724
Library of Congress
HG6024.9.D44 M36 1989, HG3851

The Physical Object

Pagination
v, 47 p. :
Number of pages
47

Edition Identifiers

Open Library
OL2192330M
Internet Archive
managingfinancia0000unse_v8m9
ISBN 10
1557751161
LCCN
89011125
OCLC/WorldCat
19778037
Goodreads
4697178

Work Identifiers

Work ID
OL17984269W

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History

Download catalog record: RDF / JSON / OPDS | Wikipedia citation
July 6, 2025 Edited by MARC Bot import existing book
March 3, 2025 Edited by MARC Bot import existing book
July 24, 2024 Edited by MARC Bot import existing book
August 17, 2022 Edited by ImportBot import existing book
April 1, 2008 Created by an anonymous user Imported from Scriblio MARC record