Research Catalog
Managing foreign debt and liquidity risks.
- Title
- Managing foreign debt and liquidity risks.
- Publication
- Basel : Bank for International Settlements, Monetary and Economic Department, 2000.
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---|---|---|---|---|
Text | Request in advance | HG3891.5 .M36 2000g | Off-site | |
Not available - Please for assistance. | Text | Use in library | Off-site |
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Details
- Additional Authors
- Bank for International Settlements. Monetary and Economic Department.
- Description
- 153 pages : illustrations; 21 cm.
- Series Statement
- BIS policy papers, 1027-6297 ; no. 8
- Uniform Title
- BIS policy papers ; no. 8.
- Subjects
- Note
- "[Based on papers presented by] a small group of senior central bankers at the BIS during a two-day meeting in December 1999."--P. 5.
- "September 2000"--T.p.
- Bibliography (note)
- Includes bibliographical references.
- Contents
- Managing foreign debt and liquidity risks merging in emerging economies : an overview / John Hawkins and Philip Turner -- Managing foreign debt and liquidity risks in Chile / Jorge Marshall -- Managing the external balance sheet : a Hong Kong perspective / Tony Latter -- Managing foreign debt and liquidity : India's experience / Y. V. Reddy -- Stabilisation, vulnerability and liquidity as a safety net : some thoughts evoked by the Israeli experience / Sylvia Piterman -- Policy responses to strengthen liquidity risk management in Korea / Bo Yung Chung -- Macroeconomic aspects of the management of external debt and liquidity : reflections on the Mexican experience / José Sidaoui -- Poland's vulnerability to turbulence in financial markets / Ryszard Kokoszczyński and Andrzej Sławiński -- Managing foreign debt and liquidity risks in emerging markets : selected issues from a South African perspective / James Cross.
- OCLC
- ocm45300573
- SCSB-4153012
- Owning Institutions
- Columbia University Libraries