Investor relations and information policy by OECD sovereigns
Gespeichert in:
Veröffentlicht in: | Debt management and government securities markets in the 21st century |
---|---|
1. Verfasser: | |
Weitere Verfasser: | |
Pages: | 21 |
Format: | UnknownFormat |
Sprache: | eng |
Veröffentlicht: |
2002
|
Schlagworte: | |
Tags: |
Tag hinzufügen
Keine Tags, Fügen Sie den ersten Tag hinzu!
|
Titel | Jahr | Verfasser |
---|---|---|
The role and structure of debt management offices | 2002 | Kalderén, Lars |
Experience with index-linked bonds in OECD countries | 2002 | McCray, Peter |
Electronic issuance and the future of primary dealer systems | 2002 | Søgaard Holm, Birgitte |
Overview of trends and recent changes in the structure of OECD public debt markets and debt management operations | 2002 | Blommestein, Hans J. |
Overview of policy objectives and characteristics of public debt and debt holdings | 2002 | Kreiner, Signe |
The impact of electronic systems on secondary markets | 2002 | Søgaard Holm, Birgitte |
Investor relations and information policy by OECD sovereigns | 2002 | Turner, Andrew |
Risk management practices concerning assets and liabilities of debt managers in OECD countries | 2002 | |
Challenges for debt management in emerging bond markets | 2002 | Blommestein, Hans J. |