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1
A Primer for Risk Measurement of Bonded Debt from the Perspective of a Sovereign Debt Manager
by
Papaioannou, Michael
Published 2006
International Monetary Fund
Subjects:
“
...Financial
risk
management
...
”
Read Now
2
A Primer on Managing Sovereign Debt-Portfolio Risks
by
Jonasson, Thordur
Published 2018
International Monetary Fund
Subjects:
“
...Financial
risk
management
...
”
Read Now
3
Sovereign Wealth Funds : Aspects of Governance Structures and Investment Management
by
Alhassan, Abdullah
Published 2013
International Monetary Fund
Subjects:
“
...Financial
risk
management
...
”
Read Now
4
Exchange Rate Risk Measurement and Management : Issues and Approaches for Firms
by
Papaioannou, Michael
Published 2006
International Monetary Fund
Subjects:
“
...Financial
risk
management
...
”
Read Now
5
Sovereign Debt Restructurings 1950-2010 : Literature Survey, Data, and Stylized Facts
by
Trebesch, Christoph
Published 2012
International Monetary Fund
Subjects:
“
...Financial Risk and
Risk
Management
...
”
Read Now
6
Procyclical Behavior of Institutional Investors During the Recent Financial Crisis : Causes, Impacts, and Challenges
by
Papaioannou, Michael
Published 2013
International Monetary Fund
Subjects:
“
...Financial Risk and
Risk
Management
...
”
Read Now
7
Sovereign Default Risk and Private Sector Access to Capital in Emerging Markets
by
Das, Udaibir
Published 2010
International Monetary Fund
Subjects:
“
...Financial Risk and
Risk
Management
...
”
Read Now
8
Managing Public Debt and Its Financial Stability Implications
by
Das, Udaibir
Published 2010
International Monetary Fund
Subjects:
“
...Financial
Risk
Management
...
”
Read Now
9
Do Enhanced Collective Action Clauses Affect Sovereign Borrowing Costs?
by
Chung, Kay
Published 2020
International Monetary Fund
Subjects:
“
...Financial
Risk
Management
...
”
Read Now
10
Belize's 2016-17 Sovereign Debt Restructuring - Third Time Lucky?
by
Asonuma, Tamon
Published 2018
International Monetary Fund
Subjects:
“
...Financial
Risk
Management
...
”
Read Now
11
Sovereign Debt Restructurings in Grenada : Causes, Processes, Outcomes, and Lessons Learned
by
Asonuma, Tamon
Published 2017
International Monetary Fund
Subjects:
“
...Financial
Risk
Management
...
”
Read Now
12
Unwinding Financial Sector Interventions : Preconditions and Practical Considerations
by
Papaioannou, Michael
Published 2010
International Monetary Fund
Subjects:
“
...Financial
Risk
Management
...
”
Read Now
13
Commodity-based Sovereign Wealth Funds : Managing Financial Flows in the Context of the Sovereign Balance Sheet
by
Alhassan, Abdullah
Published 2018
International Monetary Fund
Subjects:
“
...Financial Risk and
Risk
Management
...
”
Read Now
14
Macrofinancial Linkages of the Strategic Asset Allocation of Commodity-Based Sovereign Wealth Funds
by
Brown, Aaron Howard Clifford
Published 2010
International Monetary Fund
Subjects:
“
...Financial Risk and
Risk
Management
...
”
Read Now
15
Sovereign Risk and Asset and Liability Management : Conceptual Issues
by
Das, Udaibir
Published 2012
International Monetary Fund
Subjects:
“
...Financial
Risk
Management
...
”
Read Now
16
Credit, currency or deratives : instruments of global financial stability or crisis?
by
Choi, Jongmoo Jay
Published 2009
Emerald
Table of Contents:
“
... --
Risk
management
lessons from Madoff fraud / Pierre Clauss, Thierry Roncalli, Guillaume Weisang...
”
Call Number:
HB3722
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Emerald Business, Management and Economics eBook Collection Archive
1
Author
Papaioannou, Michael
Das, Udaibir
5
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