A Primer On Managing Sovereign Debt Portfolio Risks PDF Download
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Author | : Thordur Jonasson |
Publisher | : International Monetary Fund |
Total Pages | : 133 |
Release | : 2018-04-06 |
Genre | : Business & Economics |
ISBN | : 1484350545 |
Download A Primer on Managing Sovereign Debt-Portfolio Risks Book in PDF, ePub and Kindle
This paper provides an overview of sovereign debt portfolio risks and discusses various liability management operations (LMOs) and instruments used by public debt managers to mitigate these risks. Debt management strategies analyzed in the context of helping reach debt portfolio targets and attain desired portfolio structures. Also, the paper outlines how LMOs could be integrated into a debt management strategy and serve as policy tools to reduce potential debt portfolio vulnerabilities. Further, the paper presents operational issues faced by debt managers, including the need to develop a risk management framework, interactions of debt management with fiscal policy, monetary policy, and financial stability, as well as efficient government bond markets.
Author | : Michael G. Papaioannou |
Publisher | : International Monetary Fund |
Total Pages | : 54 |
Release | : 2006-08 |
Genre | : Business & Economics |
ISBN | : |
Download A Primer for Risk Measurement of Bonded Debt from the Perspective of a Sovereign Debt Manager Book in PDF, ePub and Kindle
This paper presents some conventional and new measures of market, credit, and liquidity risks for government bonds. These measures are analyzed from the perspective of a sovereign's debt manager. In particular, it examines duration, convexity, M-square, skewness, kurtosis, and VaR statistics as measures of interest rate exposure; a VaR statistic as the prominent measure of exchange rate exposure; the balance sheet approach (or contingent claims approach), and its consequent probability of default as the most promising measure of credit risk exposure; and an elasticity approach and a VaR statistic to measure liquidity risk. Along with the formulas for the various statistics proposed, we provide simple examples of their application to some common risk valuation cases. Finally, we present an integrated approach for the simultaneous estimation of a portfolio's interest rate and exchange rate risk using the VaR methodology. The integrated approach is then extended to also include N risk factors. This approach allows us to measure the total risk of a portfolio, provided that the volatilities and correlations among the risk factors can be estimated.
Author | : Mr.D. F. I. Folkerts-Landau |
Publisher | : International Monetary Fund |
Total Pages | : 54 |
Release | : 1997-12-01 |
Genre | : Business & Economics |
ISBN | : 1451979614 |
Download Risk Management of Sovereign Assets and Liabilities Book in PDF, ePub and Kindle
In an environment of sizable and volatile capital flows and integrated international capital markets, large and unhedged net external sovereign liabilities expose countries to swings in international asset prices and to potential speculative currency attacks. The paper argues that an essential step in reducing emerging market vulnerability to such external shocks is to reform the institutional arrangements governing asset and liability management policies, so as to promote a transparent, publicly accountable, and professional incentive structure.
Author | : International Monetary Fund |
Publisher | : International Monetary Fund |
Total Pages | : 39 |
Release | : 2003-09-12 |
Genre | : Business & Economics |
ISBN | : 149832892X |
Download Guidelines for Public Debt Management -- Amended Book in PDF, ePub and Kindle
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Author | : Mr.D. F. I. Folkerts-Landau |
Publisher | : International Monetary Fund |
Total Pages | : 292 |
Release | : 2000-07-05 |
Genre | : Business & Economics |
ISBN | : 9781557756947 |
Download Sovereign Assets and Liabilities Management Book in PDF, ePub and Kindle
This volume, edited by David Folkerts-Landau and Marcel Cassard, consists of papers presented at a conference held in Hong Kong SAR that was hosted by the IMF and the Hong Kong Monetary Authority. It focuses on a wide range of issues confronting policymakers in managing their sovereign assets and liabilities in a world of mobile capital and integrated capital markets. Topics include public debt management strategy, central bank reserves management, technical and quantitive aspects of risk management, and credit costs and borrowing capacity in optimizing debt management. The papers draw on experiences of policymakers and private sector participants actively involved in formulating and implementing debt and reserves policy.
Author | : Mr.Udaibir S. Das |
Publisher | : International Monetary Fund |
Total Pages | : 29 |
Release | : 2010-12-01 |
Genre | : Business & Economics |
ISBN | : 1455210870 |
Download Managing Public Debt and Its Financial Stability Implications Book in PDF, ePub and Kindle
This paper explores the relationship between the level and management of public debt and financial stability, and explains the channels through which the two are interlinked. It suggests that the broader implications of a debt management strategy and its implementation should be carefully analyzed by debt managers and policy makers in terms of their impact on the government's balance sheet, macroeconomic developments, and the financial system.
Author | : OECD |
Publisher | : OECD Publishing |
Total Pages | : 288 |
Release | : 2005-08-03 |
Genre | : |
ISBN | : |
Download Advances in Risk Management of Government Debt Book in PDF, ePub and Kindle
This study on government debt brings together a number of reports on best practices for managing market risk, credit risk, operational risk and contingent liability risk. It was prepared by the OECD Working Party on Public Debt Management.
Author | : Mr.Udaibir S. Das |
Publisher | : International Monetary Fund |
Total Pages | : 128 |
Release | : 2012-08-01 |
Genre | : Business & Economics |
ISBN | : 1475505531 |
Download Sovereign Debt Restructurings 1950-2010 Book in PDF, ePub and Kindle
This paper provides a comprehensive survey of pertinent issues on sovereign debt restructurings, based on a newly constructed database. This is the first complete dataset of sovereign restructuring cases, covering the six decades from 1950–2010; it includes 186 debt exchanges with foreign banks and bondholders, and 447 bilateral debt agreements with the Paris Club. We present new stylized facts on the outcome and process of debt restructurings, including on the size of haircuts, creditor participation, and legal aspects. In addition, the paper summarizes the relevant empirical literature, analyzes recent restructuring episodes, and discusses ongoing debates on crisis resolution mechanisms, credit default swaps, and the role of collective action clauses.
Author | : André Amante |
Publisher | : International Monetary Fund |
Total Pages | : 40 |
Release | : 2019-12-27 |
Genre | : Business & Economics |
ISBN | : 151352514X |
Download Sovereign Asset and Liability Management in Emerging Market Countries: The Case of Uruguay Book in PDF, ePub and Kindle
This paper provides an overview of the strategic and operational issues as well as institutional challenges, related to the implementation of the Sovereign Asset and Liability Management (SALM) approach. Application of an SALM framework allows the authorities to identify and monitor sovereign exposure mismatches; increase resilience to foreign currency and interest rate risks; and thus, strengthen financial stability; and implement more cost-effective management of the public-sector debt. The analysis is based on emerging market (EM) countries and illustrated by the experience of Uruguay, using data as of end-2017.
Author | : Peter Lindner |
Publisher | : International Monetary Fund |
Total Pages | : 63 |
Release | : 2023-03-10 |
Genre | : Business & Economics |
ISBN | : |
Download Sovereign ESG Bond Issuance: A Guidance Note for Sovereign Debt Managers Book in PDF, ePub and Kindle
This paper aims to provide guidance to issuers of sovereign ESG bonds, with a focus on Emerging Market and Developing Economies (EMDEs). An overview of the ESG financing options available to sovereign issuers is followed by an analysis of the operational requirements and costs that the issuance of sovereign ESG bonds entails. While green bonds are the instruments used to describe the issuance process, the paper also covers alternative instruments, including social and sustainability-linked bonds to provide issuers and other stakeholders with a comprehensive view of the ESG bond marketplace.