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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.
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Previews available in: English
Edition | Availability |
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Managing financial risks in indebted developing countries
1989, International Monetary Fund
in English
1557751161 9781557751164
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Edition Notes
Includes bibliographical references (p. 46-47)
"June 1989."
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