Gestion de la dette publique

Actualités & Evénements

Actualités

Banking: A market perspective on the European sovereign debt and banking crisis

03-févr.-2011

Europe has been beset by an interrelated banking crisis and sovereign debt crisis. Bond spreads faced by Greece and Ireland, and to a lesser extent Portugal followed by Spain, have increased. This paper explores these issues from the perspective of financial markets, focusing mainly on these 4 countries.

Sovereign debt challenges for banking systems and bond markets

21-déc.-2010

Representatives of the financial services sector met in October 2010 to discuss sovereign debt challenges faced by banking systems and bond markets. This article summarises these discussions which covered the current outlook and risks - including capital flows and global rebalancing, sovereign risks and challenges for the banking sector.

The Danish Government publishes the 2006 edition of Borrowing and Debt

15-mars-2007

The Danish Government has just published the 2006 edition of "Danish Government Borrowing and Debt". The publication contains information on the basic principles behind the administration and describes the development in government borrowing and debt over the past year.

OECD and the Italian Treasury launch a Network for Public Debt Management in Emerging Markets

28-juin-2005

In the global financial marketplace, creating, sharing and using information and knowledge are of vital importance for public debt managers. This joint initiative by OECD and the Italian Treasury, constitutes a new, complimentary feature in the multilateral framework for co-operation in the area of public debt management by providing an electronic platform for continuous information exchange that supports an intensive and comprehensive electronic policy dialogue.

Les progrès de la gestion des risques inhérents à la dette publique

17-mars-2005

Cet article s’inspire d’une nouvelle étude de l’OCDE qui procède à un tour d’horizon et à une analyse approfondie des pratiques de gestion des risques des gestionnaires de la dette publique des pays de l’OCDE. La gestion des risques est devenue un instrument important pour atteindre des objectifs stratégiques et, dans la plupart des pays, elle fait désormais partie intégrante du dispositif stratégique plus général d’une gestion de la dette s’appuyant sur des références. (Disponible en anglais seulement)

Dette de l'administration centrale : annuaire statistique 1993/2002 - Edition 2004

05-août-2004

Les gouvernements sont parmi les principaux émetteurs de titres d’emprunt sur le marché mondial des capitaux.  Cette édition fournit des informations quantitatives sur les titres d’emprunt d’état pour les 30 pays membres de l'OCDE en vue de répondre aux besoins analytiques des utilisateurs tels que les pouvoirs publics, les spécialistes de la gestion de la dette et les analystes de marché.

OECD Public Debt Markets: Trends and Recent Structural Changes

24-juin-2002

This OECD publication provides an authoritative source of the most up-to-date information on North American, Asian-Pacific and European bond markets. As it is drafted by the OECD debt managers themselves, it provides a unique overview of the best practices on debt management policies and techniques.


Evénements

18th OECD Global Forum on Public Debt Management and Emerging Government Securities Markets

du 03-déc.-2008 au 04-déc.-2008

Held in Paris back-to-back with the forum on African Public Debt Management, discussions focused on sovereign asset liability management, the use of short-term government paper and regional roundtables on challenges and opportunities for issuers in view of the credit/liquidity crisis.



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