Riscurile datoriei de stat în Republica Moldova
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2023-04-18 11:17
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CAZAC, Diana. Riscurile datoriei de stat în Republica Moldova. In: Perspectivele şi Problemele Integrării în Spaţiul European al Cercetării şi Educaţiei, 5 iunie 2015, Cahul. Cahul, Republica Moldova: Tipografia Centrografic, 2015, Vol.1, pp. 395-398. ISBN 978-9975-914-99-4 .
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Dublin Core
Perspectivele şi Problemele Integrării în Spaţiul European al Cercetării şi Educaţiei
Vol.1, 2015
Conferința "Perspectivele şi Problemele Integrării în Spaţiul European al Cercetării şi Educaţiei"
Cahul, Moldova, 5 iunie 2015

Riscurile datoriei de stat în Republica Moldova


Pag. 395-398

Cazac Diana
 
Academia de Studii Economice din Moldova
 
 
Disponibil în IBN: 20 iunie 2021


Rezumat

Sovereign debt is one of the oldest investment asset classes in the world, as national governments have been issuing bonds for centuries. Today, sovereign debt forms are an important cornerstone of many institutional investment portfolios, and is becoming increasingly popular with many individual investors. This article will examine the sovereign debt market, debt risks and explain techniques investors can use to safely invest in this market. This paper aims to highlight the importance of effective management of debt risks and a rational debt sustainability analysis and to make a brief assessment of Moldova's sovereign debt.

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