Abstract

Against the background of the financial-cum-sovereign debt crisis1, government debt managers are currently faced by a challenging environment characterized by serious fiscal vulnerabilities combined with accelerating debt levels.

Keywords

Economic Crisis Europe Income Expense Volatility 

Preview

Unable to display preview. Download preview PDF.

Unable to display preview. Download preview PDF.

Copyright information

© Springer Fachmedien Wiesbaden 2013

Authors and Affiliations

  • Anja Hubig
    • 1
  1. 1.Humboldt-Universität BerlinBerlinGermany

Personalised recommendations