A Primer for Risk Measurement of Bonded Debt from the Perspective of a Sovereign Debt Manager

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Release : 2006-08
Genre : Business & Economics
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A Primer for Risk Measurement of Bonded Debt from the Perspective of a Sovereign Debt Manager - read free eBook in online reader or directly download on the web page. Select files or add your book in reader. Download and read online ebook A Primer for Risk Measurement of Bonded Debt from the Perspective of a Sovereign Debt Manager write by Michael G. Papaioannou. This book was released on 2006-08. A Primer for Risk Measurement of Bonded Debt from the Perspective of a Sovereign Debt Manager available in PDF, EPUB and Kindle. This paper presents some conventional and new measures of market, credit, and liquidity risks for government bonds. These measures are analyzed from the perspective of a sovereign's debt manager. In particular, it examines duration, convexity, M-square, skewness, kurtosis, and VaR statistics as measures of interest rate exposure; a VaR statistic as the prominent measure of exchange rate exposure; the balance sheet approach (or contingent claims approach), and its consequent probability of default as the most promising measure of credit risk exposure; and an elasticity approach and a VaR statistic to measure liquidity risk. Along with the formulas for the various statistics proposed, we provide simple examples of their application to some common risk valuation cases. Finally, we present an integrated approach for the simultaneous estimation of a portfolio's interest rate and exchange rate risk using the VaR methodology. The integrated approach is then extended to also include N risk factors. This approach allows us to measure the total risk of a portfolio, provided that the volatilities and correlations among the risk factors can be estimated.

IMF Working Papers

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Release : 2006
Genre : Electronic books
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IMF Working Papers - read free eBook in online reader or directly download on the web page. Select files or add your book in reader. Download and read online ebook IMF Working Papers write by Michael G. Papaioannou. This book was released on 2006. IMF Working Papers available in PDF, EPUB and Kindle.

A Primer on Managing Sovereign Debt-Portfolio Risks

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Release : 2018-04-06
Genre : Business & Economics
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Book Rating : 545/5 ( reviews)

A Primer on Managing Sovereign Debt-Portfolio Risks - read free eBook in online reader or directly download on the web page. Select files or add your book in reader. Download and read online ebook A Primer on Managing Sovereign Debt-Portfolio Risks write by Thordur Jonasson. This book was released on 2018-04-06. A Primer on Managing Sovereign Debt-Portfolio Risks available in PDF, EPUB and Kindle. This paper provides an overview of sovereign debt portfolio risks and discusses various liability management operations (LMOs) and instruments used by public debt managers to mitigate these risks. Debt management strategies analyzed in the context of helping reach debt portfolio targets and attain desired portfolio structures. Also, the paper outlines how LMOs could be integrated into a debt management strategy and serve as policy tools to reduce potential debt portfolio vulnerabilities. Further, the paper presents operational issues faced by debt managers, including the need to develop a risk management framework, interactions of debt management with fiscal policy, monetary policy, and financial stability, as well as efficient government bond markets.

Sovereign Debt

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Release : 2011-02-25
Genre : Business & Economics
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Book Rating : 552/5 ( reviews)

Sovereign Debt - read free eBook in online reader or directly download on the web page. Select files or add your book in reader. Download and read online ebook Sovereign Debt write by Rob Quail. This book was released on 2011-02-25. Sovereign Debt available in PDF, EPUB and Kindle. An intelligent analysis of the dangers, opportunities, and consequences of global sovereign debt Sovereign debt is growing internationally at a terrifying rate, as nations seek to prop up their collapsing economies. One only needs to look at the sovereign risk pressures faced by Greece, Spain, and Ireland to get an idea of how big this problem has become. Understanding this dilemma is now more important than ever, that's why Robert Kolb has compiled Sovereign Debt. With this book as your guide, you'll gain a better perspective on the essential issues surrounding sovereign debt and default through discussions of national defaults, systemic risk, associated costs, and much more. Historical studies are also included to provide a realistic framework of reference. Contains up-to-date research and analysis on sovereign debt from today's leading practitioners and academics Details the dangers of defaults and their associated systemic risks Explores the past, present, and future of sovereign debt The repercussions of a national default are all-encompassing as global markets are intricately interwoven in the modern world. Sovereign Debt examines what it will take to overcome the challenges of this market and how you can deal with the uncertainty surrounding it.

Sovereign Risk and Asset and Liability Management

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Release : 2012-10-04
Genre : Business & Economics
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Book Rating : 833/5 ( reviews)

Sovereign Risk and Asset and Liability Management - read free eBook in online reader or directly download on the web page. Select files or add your book in reader. Download and read online ebook Sovereign Risk and Asset and Liability Management write by Mr.Udaibir S Das. This book was released on 2012-10-04. Sovereign Risk and Asset and Liability Management available in PDF, EPUB and Kindle. Country practices towards managing financial risks on a sovereign balance sheet continue to evolve. Each crisis period, and its legacy on sovereign balance sheets, reaffirms the need for strengthening financial risk management. This paper discusses some salient features embedded in in the current generation of sovereign asset and liability management (SALM) approaches, including objectives, definitions of relevant assets and liabilities, and methodologies used in obtaining optimal SALM outcomes. These elements are used in developing an analytical SALM framework which could become an operational instrument in formulating asset management and debtor liability management strategies at the sovereign level. From a portfolio perspective, the SALM approach could help detect direct and derived sovereign risk exposures. It allows analyzing the financial characteristics of the balance sheet, identifying sources of costs and risks, and quantifying the correlations among these sources of risk. The paper also outlines institutional requirements in implementing an SALM framework and seeks to lay the ground for further policy and analytical work on this topic.