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Sovereign Debt Management in Crisis in Europe and Central Asia : A Toolkit for Policy Maker
- Publication Year :
- 2013
- Publisher :
- Washington, DC, 2013.
-
Abstract
- The global financial crisis of 2008-2009 required most sovereign debt managers to adapt to rapidly changing market circumstances, by changing the mix of borrowing instruments and adopting techniques that minimize the impact of severe market dislocations and increased risk aversion. These actions, allied to prudent macroeconomic and debt management policies implemented by government in the years preceding the crises, were critical in helping countries meet their financing needs without undue strain on the financial markets. This toolkit draws on the approaches taken by a range of countries and provides sovereign debt policy makers with a rich set of potential actions to address crisis periods. A practical illustration on the use of some of these actions is conducted by analyzing the measures taken by Romania, Serbia and Turkey as a response to the recent crises. Authors draw lessons from these experiences and examine what other measures included in the toolkit could have been used to boost the crisis response impact in these economies, respecting country-specific contexts.
- Subjects :
- RETAIL INVESTORS
DEBT PAPER
EMERGING MARKET COUNTRIES
GOVERNMENT SECURITIES MARKETS
PENSION FUNDS
SETTLEMENT SYSTEMS
MARKETABLE INSTRUMENTS
INFLATIONARY PRESSURES
MARKET BORROWING
INFLATION
EMERGING MARKET
FISCAL DEFICIT
REVERSE AUCTIONS
T-BONDS
GOVERNMENT BORROWING
CONSUMER PRICE INDEX
PENSION
FINANCIAL MARKET
MARKET ENVIRONMENT
SOVEREIGN DEBT MARKET
CREDIT LINES
MARKET INSTRUMENTS
FINANCIAL SYSTEMS
FOREIGN CURRENCY LOANS
WITHDRAWAL
LIQUID INSTRUMENTS
TRANSPARENCY
SHORT-TERM INSTRUMENTS
EMERGING MARKETS
MORTGAGE
FINANCIAL MARKETS
WHOLESALE INVESTOR
SHORT-TERM DEBT
INSTITUTIONAL INVESTORS
LIQUIDITY POSITION
SOVEREIGN DEBT
DEPOSITS
BORROWING COSTS
CREDITORS
AUCTION
BANK DEPOSITS
DOMESTIC MARKETS
DEVALUATION
FIXED INCOME
EXCESS SUPPLY
DEBT POLICY
MONETARY POLICY
DISBURSEMENT
LIQUIDITY
INTEREST RATES
PUBLIC DEBT
CREDIT RISK
CONTINGENT LIABILITIES
CASH MANAGEMENT
INVESTOR BASE
AUCTIONS
FIXED INCOME MARKETS
PORTFOLIO RISK
BUDGET DEFICIT
PRIMARY DEALER
LOCAL MARKET
LIQUIDITY RISKS
ISSUANCE OF T-BILLS
DISBURSEMENTS
DEBT OUTSTANDING
DEBT BUYBACK
PORTFOLIO
LENDERS
REPAYMENT SCHEDULE
GOVERNMENT REVENUES
FOREIGN MARKETS
MARKET PARTICIPANTS
MARKET SIZE
DOMESTIC BORROWING
CAPITAL MARKETS
SECURITIES MARKETS
BILATERAL TRANSACTIONS
REGULATORY FRAMEWORK
FISCAL POLICY
SECONDARY MARKET
LIABILITY
DEVELOPING GOVERNMENT BOND MARKETS
FINANCIAL INSTITUTIONS
SECONDARY MARKET TRANSACTIONS
BORROWING REQUIREMENTS
RETAIL DEBT
ISLAMIC INVESTORS
GOVERNMENT SECURITIES
INDEXED BONDS
EXTERNAL BORROWING
DEBT FINANCING
LOAN
DEBT CRISIS
RISK PROFILE
REINVESTMENT
BOND ISSUANCE
DEVELOPING COUNTRIES
MATURITY
SECURITIES
CREDIT RATING
PUBLIC DEBT MANAGEMENT
LIABILITY MANAGEMENT
CENTRAL BANKS
EMERGING MARKET ECONOMIES
REPAYMENT
ISSUANCE
CURRENT ACCOUNT DEFICITS
TRADING
FINANCIAL SAVINGS
BUDGETING
LOCAL CURRENCY
SECONDARY MARKET ACTIVITY
FINANCIAL FLOWS
INTERNATIONAL CAPITAL
GOVERNMENT PAPER
MARKET ACCESS
CAPITAL FLOWS
BANKING SYSTEM
INVENTORY
FOREIGN EXCHANGE RISKS
DEBT ISSUANCE
DEBT MANAGEMENT POLICIES
CASH BALANCES
GOVERNMENT DEBT
LOAN AGREEMENT
INTERNATIONAL CAPITAL MARKETS
MATURITIES
DOMESTIC MARKET
PUBLIC BUDGETS
EXCESS LIQUIDITY
RISK AVERSION
BANK LENDING
INSTRUMENT
DOMESTIC CAPITAL
FINANCIAL CRISIS
FOREIGN INTEREST
BALANCE SHEETS
GOVERNMENT BONDS
CRISIS LENDING
RESERVES
OPPORTUNITY COST
CURRENCY COMPOSITION
SETTLEMENT
SECONDARY MARKETS
DOMESTIC DEBT MARKETS
BORROWER
ASSET PRICES
PRIMARY DEALERS
INTERNATIONAL MARKETS
DEVELOPING GOVERNMENT BOND
EXTERNAL DEBT
INTERNATIONAL BOND
SHORT-TERM BONDS
STRATEGIC DEBT MANAGEMENT
DEBT INSTRUMENTS
T-BILLS
BORROWING PLAN
DEBT PAYMENTS
PRIMARY DEALER SYSTEMS
CREDIT LINE
BANKING SECTOR
CRISIS COUNTRIES
LIQUID SECONDARY MARKET
CENTRAL BANK
MONETARY POLICIES
RETURN
LONG-TERM DEBT
MARKET ENVIRONMENTS
WHOLESALE INVESTORS
DOMESTIC DEBT
PRIMARY MARKET
CAPITAL MARKET
GOVERNMENT SUPPORT
DATED SECURITIES
CREDIBILITY
MACROECONOMIC MANAGEMENT
DEBT ISSUANCES
FOREIGN EXCHANGE
ACCOUNTING
PORTFOLIOS
FINANCES
RETAIL GOVERNMENT SECURITIES
DEBT MARKET DEVELOPMENT
MARKET DEVELOPMENT
LOCAL MARKETS
MARKET MAKING
PRICE DISCOVERY
CURRENCY RISK
LIQUID MARKET
BENCHMARK BONDS
INTERNATIONAL FINANCIAL INSTITUTIONS
INSURANCE
PRIMARY MARKETS
TREASURY
MARKET INTEREST RATES
PRICE VOLATILITY
DOMESTIC BANKS
DEBT MANAGEMENT
MACROECONOMIC POLICY
COMMERCIAL BANKS
INTERNATIONAL BANK
INVESTOR DEMAND
DEBT SERVICING
MONETARY FUND
PORTFOLIO RISK MANAGEMENT
LEGAL FRAMEWORK
DOMESTIC CAPITAL MARKETS
MEDIUM TERM SECURITIES
CAPITAL INFLOWS
FOREIGN CURRENCY
INTEREST RATE
LEVEL PLAYING FIELD
YIELD CURVE
CAPITAL CONSTRAINTS
DEBT MATURITIES
ACTIVE MARKET
BUYBACKS
Subjects
Details
- Language :
- English
- Database :
- OpenAIRE
- Accession number :
- edsair.od......2456..1af7d4256fd4ab9b85e2a6cc515cdc94