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Books Like Managing foreign debt and liquidity risks
If you liked Managing foreign debt and liquidity risks by Bank for International Settlements. Monetary and Economic Department, start with Réglementation du commerce des devises. Belgique (1942), Italy monetary and economic situation, 1949-1958 (1959), and The Maturity distribution of international bank lending, second-half 1981 developments (1982). These recommendations are drawn from the same author, shared genres, and reader overlap on BookOrb.
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What should I read after Managing foreign debt and liquidity risks?
BookOrb recommends Réglementation du commerce des devises. Belgique (1942), Italy monetary and economic situation, 1949-1958 (1959), The Maturity distribution of international bank lending, second-half 1981 developments (1982), Developing corporate bond markets in Asia (2006), and Foreign exchange regulations in Spain (1943).
Are there books like Managing foreign debt and liquidity risks?
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Who wrote Managing foreign debt and liquidity risks?
Managing foreign debt and liquidity risks is by Bank for International Settlements. Monetary and Economic Department.