Risk Management in the Face of Risky Sovereign Debt: Four Observations

6 Pages Posted: 6 Oct 2014

Date Written: July 2013

Abstract

This paper was presented at the panel session entitled “Risk managers on default probability for prime sovereigns”, held during the seminar on sovereign risk hosted by the BIS in January 2013.

Full publication: Sovereign Risk: A World Without Risk-Free Assets?

Suggested Citation

Wilson, Thomas C., Risk Management in the Face of Risky Sovereign Debt: Four Observations (July 2013). BIS Paper No. 72w, Available at SSRN: https://ssrn.com/abstract=2473989

Thomas C. Wilson (Contact Author)

McKinsey & Co. Inc. ( email )

Konigsallee 60C
Chicago, IL Quebec 60603
United States

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