Global sovereign credit risk report : 1st quarter, 2010
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Tag | 1 | 2 | Value |
---|---|---|---|
LDR | 00000cam a22000004b 4500 | ||
001 | MAP20100026687 | ||
003 | MAP | ||
005 | 20100407182232.0 | ||
008 | 100407s2010 gbr|||| ||| ||eng d | ||
040 | $aMAP$bspa$dMAP | ||
084 | $a7 | ||
245 | 0 | 0 | $aGlobal sovereign credit risk report$b : 1st quarter, 2010 |
260 | $aLondon [etc.]$bCredit Market Analysis$c2010 | ||
520 | $aThis paper focuses on changes in the risk profile of sovereign debt issuers, with the intention to identify trends and drivers of change. The authors have divided world debt risk into eight regions: US & UK, Western Europe, Emerging Europe, Scandinavia, Latin & South America, Middle East & Africa, Australasia and Asia. In addition to identifying themes within each of these regions, macro trends across the sovereign debt sector are also discussed | ||
650 | 1 | $0MAPA20080582401$aRiesgo crediticio | |
650 | 1 | $0MAPA20080607913$aProbabilidad de impago | |
650 | 1 | $0MAPA20080565381$aDeuda pública | |
650 | 1 | $0MAPA20080602871$aPercepción del riesgo | |
650 | 1 | $0MAPA20080579814$aCrisis financiera | |
650 | 1 | $0MAPA20080591182$aGerencia de riesgos | |
650 | 1 | $0MAPA20080611897$aPerspectivas económicas | |
710 | 2 | $0MAPA20100023525$aCredit Market Analysis |