TY - BOOK AU - Folkerts-Landau,D.F.I. AU - Cassard,Marcel ED - International Monetary Fund, ED - Hong Kong Monetary Authority. TI - Sovereign assets and liabilities management: proceedings of a conference held in Hong Kong SAR SN - 9781455213375 AV - HG1615.25 U1 - 332.1068/1 23 PY - 2000///] CY - [Washington, D.C.] PB - [International Monetary Fund] KW - Asset-liability management KW - Congresses KW - Risk management KW - Debts, External KW - Debts, Public KW - Banks and banking, Central KW - Foreign exchange KW - Gestion des actifs et des passifs KW - Congrès KW - Gestion du risque KW - Dettes extérieures KW - Dettes publiques KW - Banques centrales KW - Change KW - BUSINESS & ECONOMICS KW - Banks & Banking KW - bisacsh KW - fast KW - Debt Management KW - gnd KW - Auslandsschulden KW - Buitenlandse schulden KW - gtt KW - Wisselkoersen KW - Administração bancária KW - larpcal KW - Administração de risco KW - Dívida externa KW - Dívida pública KW - Banco central KW - Câmbio (economia) KW - Hongkong <1996> KW - swd KW - Electronic books KW - Conference papers and proceedings KW - Hongkong (1996) N1 - Papers presented at a conference hosted by the International Monetary Fund and the Hong Kong Monetary Authority in November 1996; Includes bibliographical references; Contents -- Acknowledgments -- 1 Introduction -- 2 Management of Sovereign Assets and Liabilities -- 3 Debt and Asset Management and Financial Crises: Sellers Beware -- Comments -- 4 Foreign Currency Liabilities in Debt Management -- Comments by Gregory Makoff -- 5 Sovereign Liability Management: An Irish Perspective -- 6 Management of Risks in Foreign Currency Funding and Debt Management -- 7 Autonomous Sovereign Debt Management Experience -- 8 Public Debt Management Strategy: Belgium's Experience -- 9 Central Bank Reserves Management; 10 Trends in Central Bank Reserves Management11 Reserves Management Operations in Australia -- 12 Foreign Borrowing by the Kingdom of Denmark -- 13 Credit Costs and Borrowing Capacity in Debt Optimization -- 14 Risk Management Process for Central Banks -- 15 Technical and Quantitative Aspects of Risk Management -- Notes on Contributors N2 - This volume, edited by David Folkerts-Landau and Marcel Cassard, consists of papers presented at a conference held in Hong Kong SAR that was hosted by the IMF and the Hong Kong Monetary Authority. It focuses on a wide range of issues confronting policymakers in managing their sovereign assets and liabilities in a world of mobile capital and integrated capital markets. Topics include public debt management strategy, central bank reserves management, technical and quantitive aspects of risk management, and credit costs and borrowing capacity in optimizing debt management. The papers draw on experiences of policymakers and private sector participants actively involved in formulating and implementing debt and reserves policy UR - https://search.ebscohost.com/login.aspx?direct=true&scope=site&db=nlebk&AN=449501 ER -