Includes bibliographical references (pages 191-194) and index.
CONTENTS NOTE
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1. An overview of government debt management -- 2. Managing the interface between debt management policy and other macroeconomic policies -- 3. Governance issues in managing government debt -- 4. Managing government debt in an asset-and-liability management framework -- 5. Developing a risk management policy framework -- 6. Contingent liabilities in a government asset-and-liability management framework -- 7. The use of strategic benchmarks in government asset-and-liability management -- 8. Investing in management information systems -- 9. The importance of developing domestic government bond markets -- 10. Building capability in government debt management -- Annex 1. Glossary -- Annex 2. Summary of the debt management guidelines.
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SYSTEM REQUIREMENTS NOTE (ELECTRONIC RESOURCES)
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Master and use copy. Digital master created according to Benchmark for Faithful Digital Reproductions of Monographs and Serials, Version 1. Digital Library Federation, December 2002.