A primer for risk measurement of bonded debt from the perspective of a sovereign debt manager / [prepared by] Michael Papaioannou.
Saved in:
Superior document: | IMF working paper ; WP/06/195 |
---|---|
: | |
TeilnehmendeR: | |
Year of Publication: | 2006 |
Language: | English |
Series: | IMF working paper ;
WP/06/195. |
Online Access: | |
Physical Description: | 47 p. |
Notes: | "August 2006." |
Tags: |
Add Tag
No Tags, Be the first to tag this record!
|
Similar Items
-
Systemic risk : : a practitioner's guide to measurement, management and analysis / / Malcolm H.D Kemp.
by: Kemp, Malcolm H. D.,
Published: ([2017]) -
Organized uncertainty : designing a world of risk management / / Michael Power.
by: Power, Michael.
Published: (2007.) -
Measurements in Room Acoustics : : Uncertainties and Influence of the Measurement Position / / Ingo B. Witew.
by: Witew, Ingo B.,
Published: (2022.) -
Political risk aversion / Laura Valderrama.
by: Valderrama, Laura.
Published: (2009.) -
Essentials of risk theory / Sabine Roeser ...[et. al.].
Published: (c2013.)