主权债务投资组合风险管理入门

Thordur Jonasson, Michael G. Papaioannou
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引用次数: 7

摘要

本文概述了主权债务投资组合的风险,并讨论了公共债务管理者用于减轻这些风险的各种负债管理操作(LMOs)和工具。在帮助达到债务投资组合目标和获得期望的投资组合结构的背景下分析债务管理策略。此外,本文还概述了如何将lmo纳入债务管理战略,并作为减少潜在债务组合脆弱性的政策工具。此外,本文还提出了债务管理者面临的操作问题,包括制定风险管理框架的必要性,债务管理与财政政策、货币政策和金融稳定的相互作用,以及有效的政府债券市场。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
A Primer on Managing Sovereign Debt-Portfolio Risks
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.
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