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Information × Registration Number 0218U000101, 0115U000945 , R & D reports Title Formation debt management strategy. popup.stage_title Head Bashko Vasyl Iosipovych, Registration Date 07-03-2018 Organization State Educational-Scientific Establishment "The Academy of Financial Management" popup.description2 STRATEGY OF GOVERNMENT DEBT, PROCEDURE OF MACROECONOMIC DISBALANCES, INDICATORS OF INTERNATIONAL ENVIREMENT, REAL EFFECTIVE EXCHANGE RATE, PUBLIC FINANCES, THRESHOLD OF GENERAL GOVERNMENT DEBT Object of research - the strategy of public debt management. Subject of research - macroeconomic risks in the field of public debt management. The purpose of the work is to provide proposals for the evaluation of indicators reflecting the main indicators of risk in the field of public debt management. Methods of research - general scientific empirical (statistical description) and theoretical (analysis, synthesis, generalization, induction, deduction, explanation, classification). Results of the research and their novelty - relevant to Ukraine's environment approaches to the assessment of macroeconomic and financial risks and / or their threshold values that needed to provide a decision-making process when formulating a public debt management strategy. Degree of Implementation - Report on research work, quarterly analytical notes used by the Department of MFIs. Interconnection with other robots - the theory of exchange rates, the economic cycle, state and guaranteed debt. Recommendations on the use of work results - justified approaches to assessing macroeconomic risks that need to be taken into account when developing a debt management strategy. The scope of application - fiscal and debt policy. Economic efficiency - increasing the efficiency of government borrowing, which will be carried out in the amount needed to smooth economic cycles and to conduct structural reforms and providing minimum possible costs (taking into account risks) of repayment and services and full fulfillment of the sovereign liabilities. Significance of work and conclusions - improving the quality of decision-making when formulating a government management strategy based on an assessment of the main indicators of macroeconomic and financial risks and / or their threshold values. Product Description popup.authors Білорус О.Г. Башко В.Й Браткова І.М. Гайдук І.С. popup.nrat_date 2020-04-02 Close
R & D report
Head: Bashko Vasyl Iosipovych. Formation debt management strategy.. (popup.stage: ). State Educational-Scientific Establishment "The Academy of Financial Management". № 0218U000101
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