Commodity Risk Management and Finance
Theophilos Priovolos(Author)
Oxford University Press Inc
Published on 18. July 1991
Book
Hardback
185 pages
978-0-19-520867-2 (ISBN)
Description
Although commodity-linked finance has expanded rapidly in recent years, it has mainly been confined to industrialized countries. In this book, the authors argue that commodity-linked financial measures have important advantages in the external financing of developing countries over traditional alternatives of foreign-currency-dominated, general obligation borrowing or direct foreign investment. They also offer a number of ways in which the World Bank can help Third World countries to reduce their debt and manage their financial risk.
More details
Language
English
Place of publication
New York
United States
Target group
College/higher education
Professional and scholarly
Illustrations
15 line figures, 13 tables
ISBN-13
978-0-19-520867-2 (9780195208672)
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Schweitzer Classification