Publication: Domestic Syndications: Background Note
dc.contributor.author | World Bank Group | |
dc.date.accessioned | 2016-04-19T16:49:03Z | |
dc.date.available | 2016-04-19T16:49:03Z | |
dc.date.issued | 2015-05 | |
dc.description.abstract | This background note is intended to assist debt management offices (DMOs) in assessing whether a bond placement scheme combining auctions and syndications is an appropriate strategy in their markets and, if so, to assist them in designing the corresponding procedures. | en |
dc.identifier | http://documents.worldbank.org/curated/en/2016/03/26122356/domestic-syndications-background-note | |
dc.identifier.doi | 10.1596/24087 | |
dc.identifier.uri | https://hdl.handle.net/10986/24087 | |
dc.language | English | |
dc.language.iso | en_US | |
dc.publisher | World Bank, Washington, DC | |
dc.rights | CC BY 3.0 IGO | |
dc.rights.holder | World Bank | |
dc.rights.uri | http://creativecommons.org/licenses/by/3.0/igo/ | |
dc.subject | CAPITAL GAIN | |
dc.subject | AUCTION | |
dc.subject | BOND INDICES | |
dc.subject | AUCTION SYSTEM | |
dc.subject | CAPITAL MARKETS | |
dc.subject | HOLDING | |
dc.subject | BORROWER | |
dc.subject | BASIS POINTS | |
dc.subject | PROFIT OPPORTUNITY | |
dc.subject | LIABILITY | |
dc.subject | DERIVATIVES MARKETS | |
dc.subject | CHECKS | |
dc.subject | MARKET DISTORTIONS | |
dc.subject | PUBLIC DEBT MANAGERS | |
dc.subject | BOND PRICE | |
dc.subject | SECONDARY MARKET PRICES | |
dc.subject | FOREIGN INVESTORS | |
dc.subject | MARKET DEVELOPMENTS | |
dc.subject | FUND MANAGERS | |
dc.subject | REPO | |
dc.subject | INTEREST | |
dc.subject | INSTITUTIONAL INVESTORS | |
dc.subject | INTERNATIONAL SECURITY | |
dc.subject | GUARANTEES | |
dc.subject | EXCHANGE | |
dc.subject | HEDGE FUNDS | |
dc.subject | TREASURIES | |
dc.subject | ISSUANCES | |
dc.subject | SETTLEMENT PROCEDURE | |
dc.subject | LIQUIDITY | |
dc.subject | DEBT MANAGEMENT | |
dc.subject | INVESTOR DEMAND | |
dc.subject | DOMESTIC MARKET | |
dc.subject | TYPE OF INVESTOR | |
dc.subject | SETTLEMENT PROCEDURES | |
dc.subject | PORTFOLIO | |
dc.subject | BENCHMARK MATURITIES | |
dc.subject | FOREIGN EXCHANGE RISK | |
dc.subject | BONDS | |
dc.subject | BENCHMARK BOND | |
dc.subject | BORROWERS | |
dc.subject | LIQUIDITY PREMIUM | |
dc.subject | DEBT ISSUANCE | |
dc.subject | GOVERNMENT BOND | |
dc.subject | RESERVE | |
dc.subject | LEVEL PLAYING FIELD | |
dc.subject | INVESTOR BASE | |
dc.subject | CENTRAL BANKS | |
dc.subject | MATURE MARKETS | |
dc.subject | INFLATION | |
dc.subject | INTERNATIONAL BANK | |
dc.subject | PENSION | |
dc.subject | INSTRUMENTS | |
dc.subject | DEBT INTEREST | |
dc.subject | CREDIBILITY | |
dc.subject | PRICE DISCOVERY | |
dc.subject | MARKET PARTICIPANTS | |
dc.subject | CENTRAL BANK | |
dc.subject | FLOATING-RATE NOTE | |
dc.subject | MATURITY | |
dc.subject | DEBT ISSUES | |
dc.subject | MARKET LIQUIDITY | |
dc.subject | DERIVATIVES | |
dc.subject | BOND INVESTORS | |
dc.subject | PUBLIC DEBT MANAGER | |
dc.subject | CURRENCY | |
dc.subject | BOND ISSUES | |
dc.subject | MARKET DEVELOPMENT | |
dc.subject | SECURITIES MARKET | |
dc.subject | MARKET-MAKING | |
dc.subject | PRIMARY MARKET | |
dc.subject | MARKET PRACTICE | |
dc.subject | BUYBACK | |
dc.subject | MARKET MAKERS | |
dc.subject | BOND ISSUANCE | |
dc.subject | TRADING | |
dc.subject | PRIMARY DEALERS | |
dc.subject | REPO MARKETS | |
dc.subject | INTERNATIONAL BOND | |
dc.subject | EMERGING MARKET | |
dc.subject | MARKET MECHANISM | |
dc.subject | FINANCIAL INSTITUTIONS | |
dc.subject | MARKETS | |
dc.subject | DEBT | |
dc.subject | MARKET MAKER | |
dc.subject | BOND ISSUE | |
dc.subject | SETTLEMENT | |
dc.subject | PUBLIC DEBT MANAGEMENT | |
dc.subject | SECONDARY MARKET LIQUIDITY | |
dc.subject | RESERVES | |
dc.subject | TYPE OF INVESTORS | |
dc.subject | PENSION FUNDS | |
dc.subject | GOVERNMENT SECURITIES MARKETS | |
dc.subject | BENCHMARK BONDS | |
dc.subject | BANK FINANCING | |
dc.subject | FINANCE | |
dc.subject | FOREIGN CURRENCY | |
dc.subject | GOVERNMENT SECURITIES MARKET | |
dc.subject | COMPETITIVE AUCTIONS | |
dc.subject | GOVERNMENT SECURITIES | |
dc.subject | TRANSACTIONS | |
dc.subject | AUCTIONS | |
dc.subject | EMERGING MARKETS | |
dc.subject | TRANSACTION | |
dc.subject | SECURITIES MARKETS | |
dc.subject | INVESTORS | |
dc.subject | BOND MARKETS | |
dc.subject | GOOD | |
dc.subject | GLOBAL BOND | |
dc.subject | UNIFORM PRICE | |
dc.subject | INVESTOR INTEREST | |
dc.subject | DOMESTIC MARKETS | |
dc.subject | TRANSPARENCY | |
dc.subject | BOND AUCTION | |
dc.subject | GOVERNMENT BOND MARKETS | |
dc.subject | TRANCHE | |
dc.subject | PRIVATE PLACEMENT | |
dc.subject | MARKET CONDITIONS | |
dc.subject | MARKET PRICES | |
dc.subject | FUTURE | |
dc.subject | SECONDARY MARKETS | |
dc.subject | LOCAL MARKET | |
dc.subject | FOREIGN INVESTMENT | |
dc.subject | EXCHANGES | |
dc.subject | UNIFORM PRICE AUCTION | |
dc.subject | FINANCIAL INSTRUMENTS | |
dc.subject | FINANCIAL INSTRUMENT | |
dc.subject | PRICE STABILITY | |
dc.subject | COUNTRY CREDIT | |
dc.subject | ISSUANCE | |
dc.subject | BIDS | |
dc.subject | PRICE FORMATION | |
dc.subject | MARKET | |
dc.subject | LOCAL CURRENCY | |
dc.subject | CREDIT RATING | |
dc.subject | FOREIGN EXCHANGE | |
dc.subject | MARKET RISK | |
dc.subject | LIQUID SECONDARY MARKET | |
dc.subject | DOMESTIC SECURITIES | |
dc.subject | SECURITIES | |
dc.subject | PUBLIC DEBT | |
dc.subject | TREASURY | |
dc.subject | HOLDINGS | |
dc.subject | INSURANCE | |
dc.subject | GOVERNMENT DEBT | |
dc.subject | DEBT MARKET | |
dc.subject | INVESTOR | |
dc.subject | BUYBACKS | |
dc.subject | MARKET SHARE | |
dc.subject | SECURITY | |
dc.subject | PRIMARY DEALER | |
dc.subject | FINANCIAL MARKET | |
dc.subject | LIQUID MARKET | |
dc.subject | INVESTMENT | |
dc.subject | PRIMARY DEALER SYSTEMS | |
dc.subject | BOND | |
dc.subject | SHARE | |
dc.subject | BALANCE SHEETS | |
dc.subject | INDEXED BOND | |
dc.subject | COUPON | |
dc.subject | BID | |
dc.subject | BONDHOLDERS | |
dc.subject | DEBT MARKET DEVELOPMENT | |
dc.subject | EXTERNAL DEBT | |
dc.subject | PROFIT | |
dc.subject | OUTSTANDING AMOUNT | |
dc.subject | LENDING | |
dc.subject | CHECK | |
dc.subject | GLOBAL FINANCE | |
dc.subject | MARKET PRACTICES | |
dc.subject | MATURITIES | |
dc.subject | LONG-TERM INVESTORS | |
dc.subject | INSURANCE COMPANIES | |
dc.subject | INSTRUMENT | |
dc.subject | LIABILITY MANAGEMENT | |
dc.subject | ARBITRAGE | |
dc.subject | SECONDARY MARKET | |
dc.subject | GOVERNMENT ACCOUNTS | |
dc.subject | HEDGE | |
dc.subject | INTERNATIONAL INVESTORS | |
dc.subject | INTERNATIONAL BANKS | |
dc.subject | GUARANTEE | |
dc.subject | OLD BOND | |
dc.subject | SWAP | |
dc.subject | PORTFOLIO MANAGEMENT | |
dc.subject | ASSET MANAGERS | |
dc.subject | INVESTMENT RISK | |
dc.title | Domestic Syndications | en |
dc.title.subtitle | Background Note | en |
dc.type | Working Paper | en |
dc.type | Document de travail | fr |
dc.type | Documento de trabajo | es |
dspace.entity.type | Publication | |
okr.date.disclosure | 2016-03-24 | |
okr.date.doiregistration | 2025-05-05T11:43:51.579622Z | |
okr.doctype | Publications & Research | |
okr.doctype | Publications & Research::Working Paper | |
okr.docurl | http://documents.worldbank.org/curated/en/2016/03/26122356/domestic-syndications-background-note | |
okr.guid | 600031468185642439 | |
okr.identifier.externaldocumentum | 090224b08423067a_1_0 | |
okr.identifier.internaldocumentum | 26122356 | |
okr.identifier.report | 104177 | |
okr.imported | true | |
okr.language.supported | en | |
okr.pdfurl | http://www-wds.worldbank.org/external/default/WDSContentServer/WDSP/IB/2016/03/24/090224b08423067a/1_0/Rendered/PDF/Domestic0syndications000background0note0.pdf | en |
okr.topic | Finance and Financial Sector Development::Debt Markets | |
okr.topic | Finance and Financial Sector Development::Strategic Debt Management | |
okr.topic | Finance and Financial Sector Development::Finance and Development | |
okr.topic | Finance and Financial Sector Development::Financial Intermediation | |
okr.unit | Finance & Markets - GP - IBRD (GFMDR) |