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OECD Sovereign Borrowing Outlook 2018

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Published on May 28, 2018

The 2018 edition of the OECD Sovereign Borrowing Outlook presents gross borrowing requirements, net borrowing requirements, central government marketable debt and funding strategies for the OECD area and country groupings. In addition, it examines: interactions between fiscal policy; public debt management and monetary policy; procedures and instruments; liquidity in secondary markets; and alternative approaches to sovereign borrowing such as green bonds and GDP-linked instruments in the context of global economic and financial developments.


Acronyms and abbreviations
Executive summary
Sovereign borrowing outlook for OECD countries
Alternative approaches to sovereign borrowing*
A public debt management perspective on liquidity in sovereign bond markets
OECD 2017 Survey on Primary Markets Developments
OECD 2017 Survey on Liquidity in Government Bond Secondary Markets
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