소장기록

제목Strategic Sovereign Debt Management in Korea


설명1. Project Background and Objectives  1.1. Project Background  1.2. Overall Objectives 2. Theoretical Framework of Strategic Benchmarking  2.1. Objectives of Sovereign Debt Management and Benchmarking  2.2. Functions of the Benchmarking System  2.3. Detailed Benchmarking Framework  2.4. Premises and Issues in the Benchmarking Framework 3. Risk Analysis of Sovereign Debts in Korea  3.1. Sovereign Debt in Korea  3.2. Risk Quantification of Central Government Domestic Debt  3.3. Risk Quantification of Central Government External Debt 4. Exogenous Medium-Term Targets for Sovereign Debt Portfolio Optimization  4.1. Sovereign External Debt Portfolio  4.2. Sovereign Domestic Debt Portfolio 5. Achieving Optimal Risk Structure and Policy Recommendations  5.1. Overall Benchmarking and Policy Recommendations  5.2. Cash Flow Ananlysis  5.3. Concluding Remarks 6. Setting Up a Sovereign Debt Management Units  6.1. Why A Well-functioning Debt Management Office Is Necessary  6.2. Rationale behind an Independent Debt Office  6.3. Current Debt Management Practices in Korea  6.4. Temporary Solution: A Debt Management Task Force Unit Reference


생산자함준호 외


날짜2000-03-01


기록유형문서류


기록형태보고서/논문


주제정치경제


연관링크http://www.kdi.re.kr/research/subjects_view.jsp?pub_no=2477


식별번호KC-R-00470


제목Strategic Sovereign Debt Management in Korea


설명1. Project Background and Objectives  1.1. Project Background  1.2. Overall Objectives 2. Theoretical Framework of Strategic Benchmarking  2.1. Objectives of Sovereign Debt Management and Benchmarking  2.2. Functions of the Benchmarking System  2.3. Detailed Benchmarking Framework  2.4. Premises and Issues in the Benchmarking Framework 3. Risk Analysis of Sovereign Debts in Korea  3.1. Sovereign Debt in Korea  3.2. Risk Quantification of Central Government Domestic Debt  3.3. Risk Quantification of Central Government External Debt 4. Exogenous Medium-Term Targets for Sovereign Debt Portfolio Optimization  4.1. Sovereign External Debt Portfolio  4.2. Sovereign Domestic Debt Portfolio 5. Achieving Optimal Risk Structure and Policy Recommendations  5.1. Overall Benchmarking and Policy Recommendations  5.2. Cash Flow Ananlysis  5.3. Concluding Remarks 6. Setting Up a Sovereign Debt Management Units  6.1. Why A Well-functioning Debt Management Office Is Necessary  6.2. Rationale behind an Independent Debt Office  6.3. Current Debt Management Practices in Korea  6.4. Temporary Solution: A Debt Management Task Force Unit Reference


생산자함준호 외


날짜2000-03-01


크기 및 분량51쪽


언어영어


출처한국개발연구원


연관링크http://www.kdi.re.kr/research/subjects_view.jsp?pub_no=2477


기록유형문서류


기록형태보고서/논문


대주제정치경제


소주제재정


자원유형기록


파일 746386ccb08bc474ea7195a63baf4076.pdf