Sovereign Liability And Risk Management Principles And Practices (SLRM)
This course, presented by the IMF Monetary and Capital Markets Department, is intended to broaden participants’ understanding of the main policy and operational issues in sovereign risk management, techniques used for active debt operations and debt market development, and sustained capital market access. Emphasis is given to the risk measurement of a bonded debt portfolio in the context of a sovereign’s overall balance sheet (assets and liabilities). The course specifically focuses on the lessons from the global financial and economic crisis for managing sovereign risk, public debt, and the interface with capital markets and financial stability. The course considers the following:
- Effective organizational arrangements;
- coordination with key policy areas, including monetary and fiscal policy;
- building blocks for a framework for sovereign liability management, including objectives and identification of risks, and accountability;
- technical and operational aspects of risk management;
- identifying and monitoring sovereign risk, and good principles for stress testing a sovereign debt portfolio;
- measuring key portfolio risks, including currency, interest rate, and refinancing exposures;
- technical and implementation aspects of developing a medium-term debt management strategy; and
- formulating debt issuance strategies taking account of the link between debt management and debt sustainability analysis.
Target Audience
Qualifications
Course Objectives
- Identify building blocks for a framework for sovereign liability management, including objectives and identification of risks and accountability.
- Identify good principles for stress testing a sovereign debt portfolio and monitor sovereign risk.
- Measure key portfolio risks, including currency, interest rate, and refinancing exposures.
- Describe technical and implementation aspects of developing a medium-term debt management strategy.
- Formulate debt issuance strategies taking account of the link between debt management and debt sustainability analysis.
Monetary and Financial Statistics (MFSX)
English | October 15, 2024 - December 17, 2024 | Online Training | Course conducted online
Apply online by November 22, 2024
Nowcasting (NWC)
English | February 17-28, 2025 | In-person Training | New Delhi, India
Apply online by November 22, 2024
Selected Issues in the Regulation of Fintech (SIFR)
English (French, Portuguese) | January 13-17, 2025 | In-person Training | Ebene, Mauritius
Apply online by November 22, 2024
Managing Capital Flows: Macroeconomic Analysis and Policies (MCF)
English | February 10-21, 2025 | In-person Training | Singapore, Singapore
Apply online by November 22, 2024
Building Institutions to Fight Corruption (BIFC)
English (Russian) | March 3-7, 2025 | In-person Training | Vienna, Austria
Apply online by November 24, 2024