Books on the topic 'Debt risks'
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Bank for International Settlements. Monetary and Economic Dept., ed. Managing foreign debt and liquidity risks. Bank for International Settlements, Monetary and Economic Dept., 2000.
Find full textBank for International Settlements. Monetary and Economic Dept., ed. Managing foreign debt and liquidity risks. Bank for International Settlements, Monetary and Economic Dept., 2000.
Find full textWorld Bank. East Asia and Pacific Regional Office., ed. Indonesia: Managing government debt and its risks. World Bank, East Asia and the Pacific Region, 2000.
Find full textChristodoulakis, George, ed. Managing Risks in the European Periphery Debt Crisis. Palgrave Macmillan UK, 2015. http://dx.doi.org/10.1057/9781137304957.
Full textStӑnescu, Cӑtӑlin Gabriel. Self-Help, Private Debt Collection and the Concomitant Risks. Springer International Publishing, 2015. http://dx.doi.org/10.1007/978-3-319-21503-7.
Full textEduardo, Borensztein, Levy Yeyati Eduardo, and Panizza Ugo, eds. Living with debt: How to limit the risks of sovereign finance. Inter-American Development Bank, 2006.
Find full textColeman, Jonathan R. Managing financial risks in Papua New Papua: An optimal external debt portfolio. International Economics Dept., World Bank, 1991.
Find full textAmerican Bar Association. Ad Hoc Committee on Uncertificated Debt Securities., ed. First report of the committee on uncertificated securities, system credit risks and sample uncertificated debt indenture. American Bar Association, 1991.
Find full textG, Swann Nikola, Chambers John (John Boyd), and Beers David T, eds. United States of America long-term rating lowered to 'AA+' on political risks and rising debt burden: Outlook negative. Standard & Poor's, 2011.
Find full textChesney, Marc. Measuring the risk of default in six highly indebted countries. International Economics Dept., World Bank, 1992.
Find full textSy, Amadou N. R. Managerial entrenchment and the choice of debt financing. International Monetary Fund, Research Department, 1999.
Find full textAfterman, Allan B. Determining credit risk of term debt. University of Birmingham, 1989.
Find full textDahlfors, Gunnar. Essays in financial guarantees and risky debt. Stockholm School of Economics, 1994.
Find full textBhandari, Jagdeep S. Growth, debt, and sovereign risk in a small, open economy. World Bank, Country Economics Dept., 1989.
Find full textBlofeld, Mark. Portfolio balance, international debt and country risk. University of Southampton, Dept. of Economics, 1986.
Find full textSchreft, Stacey Lee. The social value of risk-free government debt. Research Division, Federal Reserve Bank of Kansas City, 2003.
Find full text1941-, Besant-Jones John, Hylan Lori, and World Bank, eds. Managing risks of investments in developing countries. World Bank, 1992.
Find full textManaging foreign debt and liquidity risks. Bank for International Settlements, Monetary and Economic Department, 2000.
Find full textJonasson, Thordur, and Michael G. Papaioannou. Primer on Managing Sovereign Debt-Portfolio Risks. International Monetary Fund, 2018.
Find full textJonasson, Thordur, and Michael G. Papaioannou. Primer on Managing Sovereign Debt-Portfolio Risks. International Monetary Fund, 2018.
Find full textJonasson, Thordur, and Michael G. Papaioannou. Primer on Managing Sovereign Debt-Portfolio Risks. International Monetary Fund, 2018.
Find full textIndonesia : Managing Government Debt and its Risks. Washington, DC, 2000. https://doi.org/10.1596/15198.
Full textLiu, Lili. Strengthening Subnational Debt Financing and Managing Risks. World Bank, Washington, DC, 2010. https://doi.org/10.1596/19471.
Full textJurzyk, Ms Emilia M., Wei Guo, and Fei Han. Assessing Macro-Financial Risks of Household Debt in China. International Monetary Fund, 2019.
Find full textAlternative Lending: Risks, Supervision, and Resolution of Debt Funds. Springer International Publishing AG, 2023.
Find full textPeridis, Promitheas. Alternative Lending: Risks, Supervision, and Resolution of Debt Funds. Springer International Publishing AG, 2022.
Find full textJurzyk, Emilia M., Nadia Rendak, Wei Guo, Fei Han, and Yun He. Assessing Macro-Financial Risks of Household Debt in China. International Monetary Fund, 2019.
Find full textJurzyk, Emilia M., Nadia Rendak, Wei Guo, Fei Han, and Yun He. Assessing Macro-Financial Risks of Household Debt in China. International Monetary Fund, 2019.
Find full textHanson, James A. The Growth In Government Domestic Debt : Changing Burdens And Risks. The World Bank, 2007. http://dx.doi.org/10.1596/1813-9450-4348.
Full textHuang, Yukon. China’s Debt Dilemma. Oxford University Press, 2017. http://dx.doi.org/10.1093/oso/9780190630034.003.0005.
Full textArmstrong-Taylor, Paul. Debt and Distortion: Risks and Reforms in the Chinese Financial System. Palgrave Macmillan, 2016.
Find full textArmstrong-Taylor, Paul. Debt and Distortion: Risks and Reforms in the Chinese Financial System. Palgrave Macmillan, 2016.
Find full textArmstrong-Taylor, Paul. Debt and Distortion: Risks and Reforms in the Chinese Financial System. Palgrave Macmillan, 2016.
Find full textFund, International Monetary. Restructuring of Sovereign Debt - Assessing the Benefits, Risks, and Feasibility of Aggregating Claims. International Monetary Fund, 2003.
Find full textFund, International Monetary. Restructuring of Sovereign Debt - Assessing the Benefits, Risks, and Feasibility of Aggregating Claims. International Monetary Fund, 2003.
Find full textStӑnescu, Cӑtӑlin Gabriel. Self-Help, Private Debt Collection and the Concomitant Risks: A Comparative Law Analysis. Springer London, Limited, 2015.
Find full textStӑnescu, Cӑtӑlin Gabriel. Self-Help, Private Debt Collection and the Concomitant Risks: A Comparative Law Analysis. Springer, 2016.
Find full textStӑnescu, Cӑtӑlin Gabriel. Self-Help, Private Debt Collection and the Concomitant Risks: A Comparative Law Analysis. Springer, 2015.
Find full textFund, International Monetary. Restructuring of Sovereign Debt - Assessing the Benefits, Risks, and Feasibility of Aggregating Claims. International Monetary Fund, 2003.
Find full textBandiera, Luca, and Vasileios Tsiropoulos. A Framework to Assess Debt Sustainability and Fiscal Risks under the Belt and Road Initiative. World Bank, Washington, DC, 2019. http://dx.doi.org/10.1596/1813-9450-8891.
Full textHenry G, Burnett, and Bret Louis-Alexis. Part II Key Risks and Disputes Associated with International Mining Projects, 8 Financing Disputes. Oxford University Press, 2017. http://dx.doi.org/10.1093/law/9780198757641.003.0008.
Full textChristodoulakis, G. Managing Risks in the European Periphery Debt Crisis: Lessons from the Trade-Off Between Economics, Politics and the Financial Markets. Palgrave Macmillan Limited, 2014.
Find full textManaging Risks in the European Periphery Debt Crisis: Lessons from the Trade-off between Economics, Politics and the Financial Markets. Palgrave Macmillan, 2014.
Find full textChristodoulakis, G. Managing Risks in the European Periphery Debt Crisis: Lessons from the Trade-Off Between Economics, Politics and the Financial Markets. Palgrave Macmillan Limited, 2015.
Find full textBank, Inter-Amer Dev. Living with Debt: How to Limit the Risks of Sovereign Finance (David Rockefeller/Inter-American Development Bank) (David Rockefeller/Inter-American Development Bank). Harvard University David Rockefeller Center for Latin American Studies, 2006.
Find full textPadilla, Cesar Sosa, Leonardo Martinez, and Juan Carlos Hatchondo. Sovereign Debt Standstills. International Monetary Fund, 2020.
Find full textPadilla, Cesar Sosa, Leonardo Martinez, and Juan Carlos Hatchondo. Sovereign Debt Standstills. International Monetary Fund, 2020.
Find full textPadilla, Cesar Sosa, Leonardo Martinez, and Juan Carlos Hatchondo. Sovereign Debt Standstills. International Monetary Fund, 2020.
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