SYSTEMATIZATION OF RISKS IN GOVERNANCE OF GOVERNMENT EXTERNAL DEBT


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Abstract

Global financial and economic crisis has exacerbated the interest of scientists and experts in enhancing the effectiveness of management of state external debt and risk management. In this regard, the article summarizes current approaches risk classification and rationale for the hierarchical representation of risk in the governance government external debt.

About the authors

Stanislav Alexandrovich Shapiro

«Stone-Ukraine» Ltd, Kiev

Author for correspondence.
Email: shapiro.stanislav83@gmail.com

financial director, master of foreign policy

Ukraine

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