Debt Markets: Policy Challenges in the Post-Crisis Landscape
Discussions at the 11th OECD-WBG-IMF Global Bond Market Forum focused on four key areas: i) the impact of crisis-related measures and the potential implications of exit; ii) the measurement of sovereign risk; iii) the determinants of investor demand; and iv) debt managers' response to the crisi...
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Format: | Elektronisch Artikel |
Sprache: | English |
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Paris
OECD Publishing
2010
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Zusammenfassung: | Discussions at the 11th OECD-WBG-IMF Global Bond Market Forum focused on four key areas: i) the impact of crisis-related measures and the potential implications of exit; ii) the measurement of sovereign risk; iii) the determinants of investor demand; and iv) debt managers' response to the crisis. Overall, participants felt that the steps taken to stabilise financial conditions had generally been effective and that conditions in financial markets were normalising. However, discussions highlighted a number of ongoing risks including: i) while credible consolidation plans were needed, fiscal and monetary policy would be tightened too soon; ii) managing investor uncertainty would prove critical in managing risk in the near-term; and (iii) regulatory changes might lead to a deterioration in conditions in primary and secondary markets and otherwise aggravate the challenges facing debt managers. JEL Classification: G15, G18, G20, G24, G32, G38, H62, H68 Keywords: Outlook on public deficits and government debt, crisis and debt management policies, government debt market, measurement of sovereign risk, investor demand, exit strategy |
Beschreibung: | 1 Online-Ressource (27 p.) 19 x 27cm. |
DOI: | 10.1787/fmt-2010-5km7k9tp0tf3 |
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spelling | Blommestein, Hans J... VerfasserIn aut Debt Markets Policy Challenges in the Post-Crisis Landscape Hans J., Blommestein ... [et al] Paris OECD Publishing 2010 1 Online-Ressource (27 p.) 19 x 27cm. Text txt rdacontent Computermedien c rdamedia Online-Ressource cr rdacarrier Discussions at the 11th OECD-WBG-IMF Global Bond Market Forum focused on four key areas: i) the impact of crisis-related measures and the potential implications of exit; ii) the measurement of sovereign risk; iii) the determinants of investor demand; and iv) debt managers' response to the crisis. Overall, participants felt that the steps taken to stabilise financial conditions had generally been effective and that conditions in financial markets were normalising. However, discussions highlighted a number of ongoing risks including: i) while credible consolidation plans were needed, fiscal and monetary policy would be tightened too soon; ii) managing investor uncertainty would prove critical in managing risk in the near-term; and (iii) regulatory changes might lead to a deterioration in conditions in primary and secondary markets and otherwise aggravate the challenges facing debt managers. JEL Classification: G15, G18, G20, G24, G32, G38, H62, H68 Keywords: Outlook on public deficits and government debt, crisis and debt management policies, government debt market, measurement of sovereign risk, investor demand, exit strategy Finance and Investment Guzzo, Vincenzo MitwirkendeR ctb Holland, Allison MitwirkendeR ctb Mu, Yibin MitwirkendeR ctb Enthalten in OECD Journal: Financial Market Trends Vol. 2010, no. 1, p. 143-169 volume:2010 year:2010 number:1 pages:143-169 FWS01 ZDB-13-SOC FWS_PDA_SOC https://doi.org/10.1787/fmt-2010-5km7k9tp0tf3 Volltext |
spellingShingle | Blommestein, Hans J.. Debt Markets Policy Challenges in the Post-Crisis Landscape Finance and Investment |
title | Debt Markets Policy Challenges in the Post-Crisis Landscape |
title_auth | Debt Markets Policy Challenges in the Post-Crisis Landscape |
title_exact_search | Debt Markets Policy Challenges in the Post-Crisis Landscape |
title_full | Debt Markets Policy Challenges in the Post-Crisis Landscape Hans J., Blommestein ... [et al] |
title_fullStr | Debt Markets Policy Challenges in the Post-Crisis Landscape Hans J., Blommestein ... [et al] |
title_full_unstemmed | Debt Markets Policy Challenges in the Post-Crisis Landscape Hans J., Blommestein ... [et al] |
title_short | Debt Markets |
title_sort | debt markets policy challenges in the post crisis landscape |
title_sub | Policy Challenges in the Post-Crisis Landscape |
topic | Finance and Investment |
topic_facet | Finance and Investment |
url | https://doi.org/10.1787/fmt-2010-5km7k9tp0tf3 |
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