1. bookVolume 10 (2021): Issue 3 (June 2021)
    Humanistic Economy
Zeitschriftendaten
License
Format
Zeitschrift
Erstveröffentlichung
03 Oct 2014
Erscheinungsweise
4 Hefte pro Jahr
Sprachen
Englisch
access type Open Access

Public Debt Management and The Country’s Financial Stability

Online veröffentlicht: 15 Jul 2021
Seitenbereich: 10 - 18
Zeitschriftendaten
License
Format
Zeitschrift
Erstveröffentlichung
03 Oct 2014
Erscheinungsweise
4 Hefte pro Jahr
Sprachen
Englisch

1. Babczuk, A. Zarządzanie długiem publicznym w transformowanej gospodarce na przykładzie Polski. Prace Naukowe Akademii Ekonomicznej we Wrocławiu 869, 2000, pp. 290-295. Search in Google Scholar

2. Das, U. S., M. Papapioannou, G. Pedras, F. Ahmed, and J. Surti. Managing Public Debt and Its Financial Stability Implications. IMF Working Paper 280, 2010, pp. 1-27. Search in Google Scholar

3. Dług publiczny. Raport roczny 2018, Warszawa: Ministerstwo Finansów, 2019. Search in Google Scholar

4. Houben, A., J. Kakes, and G. J. Schinasi. Toward a Framework for Safeguarding Financial Stability. IMF Working Paper 101, 2004, pp. 1-47. Search in Google Scholar

5. http://www.WorldBank.org, (online) 10.9.2019. Search in Google Scholar

6. Improving Public Debt Management In the OIC Member Countries. COMCEC Coordination Office 2017, March. Search in Google Scholar

7. Marchewka-Bartkowiak, K. Zarządzanie długiem publicznym w krajach Unii Europejskiej i w Polsce, Warszawa: Wydawnictwo Zarządzanie i Finanse, 2003. Search in Google Scholar

8. Missale, A. Optimal Debt Management with a Stability and Growth Pact, Public Finance and Management, 1 (I), 2000, pp. 1-28. Search in Google Scholar

9. Paalzow, A. Public Debt Management. EFI Research Report, May 1992 https://ex.hhs.se/dissertations/222004-FULLTEXT01.pdf Search in Google Scholar

10. Schinasi, G. J. Defining Financial Stability. IMF Working Paper 187, 2004, pp. 1-19. Search in Google Scholar

11. Storkey, I. Sovereign Debt Management: A Risk Management Focus, The Finance and Treasury Professional, May, 2001. Search in Google Scholar

12. Strategia zarządzania długiem sektora finansów publicznych w latach 2019-2022, Warszawa: Ministerstwo Finansów, 2018. Search in Google Scholar

13. Tobin, J. Commercial banks as creators of money. Cowles Foundation Discussion Papers 159, 1963, pp. 1-17. Search in Google Scholar

14. Togo, E. Coordinating Public Debt Management with Fiscal and Monetary Policies: An Analytical Framework. The World Bank Policy Research Working Paper 4369, 2007, pp. 1-35. Search in Google Scholar

15. Urbaniak, P. Strategie i cele zarządzania długiem publicznym w Polsce, In K. Marchewka-Bartkowiak (ed.), Pieniądz. Rynek. Instytucje, Poznań: Wydawnictwo Akademii Ekonomicznej w Poznaniu, 2005. Search in Google Scholar

16. Wolswijk, G., and J. de Haan. Government Debt Management in the Euro Area Recent Theoretical Developments and Changes In Practices. ECB Occasional Paper Series 25, 2005, pp. 1-28. Search in Google Scholar

Recommended articles from Trend MD

Plan your remote conference with Sciendo