Advances in Risk Management of Government Debt

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Last edited by MARC Bot
April 18, 2026 | History

Advances in Risk Management of Government Debt

Advances in Risk Management of Government Debt is a landmark study about risk management practices of OECD debt managers. Risk 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.

Publish Date
Language
English
Pages
281

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Edition Availability
Cover of: Advances in Risk Management of Government Debt
Advances in Risk Management of Government Debt
June 24, 2005, Organization for Economic Cooperation & Devel
Paperback in English

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Book Details


Classifications

Library of Congress
HD61 .A383 2005

The Physical Object

Format
Paperback
Number of pages
281
Dimensions
8.8 x 6.3 x 0.6 inches
Weight
13.4 ounces

Edition Identifiers

Open Library
OL9126474M
ISBN 10
9264104410
ISBN 13
9789264104419
LCCN
2008359028
OCLC/WorldCat
61263896

Work Identifiers

Work ID
OL16923096W

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