Risk management outlook for public debt management and implications for domestic bond markets development
Автор: Ivanova A.A., Dzen M.N., Borkova E.A.
Журнал: Экономика и бизнес: теория и практика @economyandbusiness
Статья в выпуске: 5-2 (87), 2022 года.
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The article discusses the effective management of domestic and foreign debt of both the private and public sectors, which affects the participation of countries in the international financial system. Particular attention is paid to the issue of public debt risk management as part of broader policy reforms to minimize the risks of a national financial crisis and improve financial stability.
Management, market, bond, sanctions, state debt
Короткий адрес: https://sciup.org/170192434
IDR: 170192434
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