Best Practices Series Series 6 Best Practices and Key Analytical Functions for Public Debt Management by Mr. Nihal Kappagoda Published: February 2004 (32 pages, 310 kb, Adobe Acrobat 5 format) Table of Contents Introductory Note Best Practices and Key Analytical Functions for Public Debt Management Part 1: Public Debt Management Critical Requirements Organizational Structure Part 2: Principal Analytical Functions Debt and Risk Management Functions Portfolio Analysis Borrowing Policy, Plan and Strategy Debt and Other Indicators of Vulnerability Critical Values of External Debt Indicators Formulation of a Borrowing Policy Annual Borrowing Ceiling Borrowing Strategy Contingent Liabilities Risk Management Types of Risk Risk Management Tools Conclusion Author's Profile Request your FREE electronic copy (in pdf format) >>
Table of Contents
Best Practices and Key Analytical Functions for Public Debt Management
Author's Profile
Request your FREE electronic copy (in pdf format) >>