In the first part, we tried in-depth analysis on various aspects of government debt management policy including policy objectives, coverage, institutional framework, strategy, risk management framework. We surveyed international standard and situation of major industrialized nations and our country, and tried to present policy directions on these issues.
Next, we address government debt level management from the macroscopic (macro) side of government debt management policy. This part covered current situation and problems, target level, mid-long term prospect and sustainability analysis of government debt. Also we set up a DSGE model and analyzed effect of government debt level on national economy.
In the third and final part of the book, we focused on the microscopic (micro) and institutional side of government debt management policy. We develop a stochastic simulation model for risk measurement and risk management of government debt. (The rest omitted)
- 경제, 사회환경 변화에 대응한 국가채무 관리방안(Government debt management in Korea)
- 박형수; 박기백; 송호신; 성승제; 길준교; 이항용; 김명직; 윤영진; 김혁; 이경섭; 박정수; 김소영; 김성현; 선정훈
경제, 사회환경 변화에 대응한 국가채무 관리방안(Government debt management in Korea)
서울 : 한국조세연구원
|Series Title; No||연구보고서 / 08-04|
|Subject Country||South Korea(Asia and Pacific)|
|Subject||Economy < Financial Policy|