Considerations regarding the Strategy for managing the Stock of Sovereign Debt of Romania
Considerations regarding the Strategy for managing the Stock of Sovereign Debt of Romania
Author(s): Lucia Camelia Risti, Cristina NicolaescuSubject(s): Economy
Published by: Editura Universității Aurel Vlaicu
Keywords: sovereign debt; the stock of government debt; risk management; public debt; tax-budgetary strategy;
Summary/Abstract: The paper aims an analysis of the evolution of the stock of sovereign debt of Romania in recent years, in the macroeconomic context of this period. The study aims to examine also the strategy for managing the different types of risks that are associated with public debt. At the same time, the work will result in purposeful sustainability studies of sovereign debt in the context of fiscal-budgetary strategy adapted by our Government in front of the community authorities and in front of our nation.
Journal: Journal of Economics and Business Research
- Issue Year: 21/2015
- Issue No: 2
- Page Range: 7-14
- Page Count: 8
- Language: English