2021
DOI: 10.47059/revistageintec.v11i3.2047
|View full text |Cite
|
Sign up to set email alerts
|

Government Financial Asset and Debt Management: Identifying Effective Indicators

Abstract: High risks, their multifactorial nature, multidirectional impact, and suddenness of occurrence due to the deep mutual integration of most national economies force looking for ways to modernize the government financial assets and liabilities management in special economic conditions, which would allow to increase its mobility and adaptability.

Help me understand this report

Search citation statements

Order By: Relevance

Paper Sections

Select...

Citation Types

0
0
0

Publication Types

Select...

Relationship

0
0

Authors

Journals

citations
Cited by 0 publications
references
References 27 publications
0
0
0
Order By: Relevance

No citations

Set email alert for when this publication receives citations?