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Detalles de la obra

Título:
Government at risk
Subtítulo:
contingent liabilities and fiscal risk
Autor(es):
Brixi, Hana Polackova, ed.; Schick, Allen, ed.
Pie de imprenta:
Washington: Banco Mundial, 2002
Descripción física:
471 p. tbls., grafs.
Idioma:
Inglés
ISBN:
978-0-8213-4835-2
Resumen:
Contiene: Part I. Learning to deal with fiscal risks in government portfolios. 1. Dealing with government fiscal risk: an overview. 2. Accounting and financial accountability to capture risk. 3. Budgeting for fiscal risk. 4. Institutional and analytical framework for measuring and managing government's contingent liabilities.5. Analytical techniques applicable to government management of fiscal risk. 6. Fiscal sustainability and a Contingency Trust Fund. 7. A framework for assesing fiscal vulnerability. Country examples.- Part II. Dealing with specific sources of government fiscal risk. 13. Pension guarantee: a methodology for assesing fiscal risk. 14. Measuring and managing government contingent liabilities in the banking sector. 15. Government insurance programs. 16. Contingent liabilities of the Central Bank. Practice.
Referencias bibliográficas:
Incluye Bibliografía
Ubicación física:
336 / BRI
Tipo de material:
[Material Impreso]