Managing sovereign debt and debt markets through a crisis – practical insights and policy lessons by IMF. “The crisis highlighted the importance of debt management in containing debt-related risks and the associated impact on debt markets. However, there has been relatively less focus on the issue of how that debt should be managed, including how its composition should be structured so as to mitigate key risk exposures, and its implications for debt market functioning.”
Practical Insights and Policy Lessons (IMF)
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