Managing financial risks in Papua New Guinea: An optimal external debt portfolio.
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TextPublication details: Washington : World Bank, 1991.Subject(s): Summary: This paper attempts to (i) analyze the two financial risks faced by PBG, and (ii) presents a rational expectations model and (iii) compares the optimal debt portfolio with the actual debt portfolio of PNG.
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This paper attempts to (i) analyze the two financial risks faced by PBG, and (ii) presents a rational expectations model and (iii) compares the optimal debt portfolio with the actual debt portfolio of PNG.
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