Advances in Risk Management of Government Debt
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Advances in Risk Management of Government Debt

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Risk management has become an increasingly important tool for achieving strategic debt targets. This study brings together a number of recent reports on best practices for managing market risk, credit risk, operational risk and contingent liability risk. It provides an in-depth overview and analysis of risk management practices of OECD debt managers and shows that the extent and sophistication of risk management vary widely across countries.

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