Sovereign Investor Relations: From Principles to Practice

Sovereign Investor Relations: From Principles to Practice
READ MORE...
Volume/Issue: Volume 2020 Issue 204
Publication date: September 2020
ISBN: 9781513556369
$18.00
Add to Cart by clicking price of the language and format you'd like to purchase
Available Languages and Formats
English
Prices in red indicate formats that are not yet available but are forthcoming.
Topics covered in this book

This title contains information about the following subjects. Click on a subject if you would like to see other titles with the same subjects.

Exports and Imports , Public Finance , WP , IR staff , debt manager , IR strategy , non-resident investor , IR function , Public Debt Management , Investor Relations , Government Securities Markets , sovereign IR , senior debt , investor base , Government debt management , Debt management , Communications in revenue administration , Debt strategy , Global

Summary

This paper defines sovereign investor relations (IR) and places it in the context of modern debt management theory. It highlights the role that improvements in IR and debt transparency can play in improving the cost-risk tradeoff in debt management, supporting market access and acting as a first line of defense in times of crisis. It sets out a policy framework and institutional arrangements for effective IR, as well as discussing the various practices, publications and strategies that underpin an IR program.