01571nam a2200361Ia 4500001001200000003000800012006001900020007001500039008004100054040002100095035002100116050002300137100002800160245015900188260006300347300001000410490003500420500001900455504005200474533015200526650003000678650004000708650003200748650004700780650004700827650003900874655002900913710006900942710001701011830003601028856012601064999001901190ebr10380672CaPaEBRm u cr cn|||||||||070815s2006 dcu sb i000 0 eng d aCaPaEBRcCaPaEBR a(OCoLC)69858548214aHB615b.P26 2006eb1 aPapaioannou, Michael G.12aA primer for risk measurement of bonded debt from the perspective of a sovereign debt managerh[electronic resource] /c[prepared by] Michael Papaioannou. a[Washington, D.C.] :bInternational Monetary Fund,cc2006. a47 p.1 aIMF working paper ;vWP/06/195 a"August 2006." aIncludes bibliographical references (p. 45-47). aElectronic reproduction.bPalo Alto, Calif. :cebrary,d2011.nAvailable via World Wide Web.nAccess may be limited to ebrary affiliated libraries. 0aRiskxEconometric models. 0aInterest ratesxEconometric models. 0aCreditxEconometric models. 0aLiquidity (Economics)xEconometric models. 0aGovernment securitiesxEconometric models. 0aDebts, PublicxEconometric models. 7aElectronic books.2local2 aInternational Monetary Fund.bMonetary and Capital Markets Dept.2 aebrary, Inc. 0aIMF working paper ;vWP/06/195.40uhttp://site.ebrary.com/lib/rucke/Doc?id=10380672zAn electronic book accessible through the World Wide Web; click to view c102684d102684