Managing Financial Risks in indebted Developing Countries Managing Financial Risks in indebted Developing Countries

Managing Financial Risks in indebted Developing Countries

Occa Paper No.65

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Publisher Description

This paper examines the types of market-related hedging instruments that could potentially be useful to indebted developing countries as they seek to manage the financial risks created by variability of the prices of external assets and commodities. The paper reviews the variability in interest rates, exchange rates, and prices of primary commodities and then analyzes the effects of this variability on the domestic and external performance of indebted developing countries. Market-related hedging instruments that are accessible to indebted developing countries are also examined.

GENRE
Business & Personal Finance
RELEASED
1989
June 16
LANGUAGE
EN
English
LENGTH
60
Pages
PUBLISHER
INTERNATIONAL MONETARY FUND
SELLER
International Monetary Fund
SIZE
1.7
MB
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