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№ 6/2012

№ 6/2012

Fìnansi Ukr. 2012 (6): 3–14

FINANCIAL AND ECONOMIC REGULATION

LONDAR Serhij 1, BASHKO Vasyl 2

1Institute of Educational Analytics
OrcID ID : https://orcid.org/0000-0003-1838-288X
2State Educational and Research Organization “Academy of Financial Management”


Approaches to systematization and control of risks associated with public debt management in Ukraine


In this paper debt management risks are systemized. Approaches to assess government borrowing to GDP ratio in which there is no need for exceptional measures to finance the budget deficit and to meet obligations to creditors are presented. The budget deficit and public debt to GDP ratio to maintain safe government borrowing level are calculated.

Keywords:refinancing risk, currency risk, public debt management, the level of government borrowing, financing of the budget.


Londar S. . Approaches to systematization and control of risks associated with public debt management in Ukraine / S. . Londar, V. BASHKO // Фінанси України. - 2012. - № 6. - C. 3-14.

Article original in Ukrainian (pp. 3 - 14) DownloadDownloads :510