Accept cookies Danmarks Nationalbank uses cookies to monitor traffic on our website. This allows us to improve our website and make it more accessible to users. Therefore, we would like you to accept cookies on Danmarks Nationalbank's website. You can delete our cookies at any time.   More about cookies

About us Tasks Notes and coins Euro Monetary policy Market info Statistics Government debt
<< Home / Government debt / Publications and announcements / Annual report
News service Site map Dansk   Search Log on
Financial stability Press room Publications Rules
Back to the frontpage

Overview


Key figures


Strategy and borrowing requirement


Issue and trading


Risk Management


Government Funds


Guarantees and re-lending


Publications and announcements


Annual report


Announcements


Previous Announcements


Investor Relations


Danmarks Nationalbank | | |QR code for mobile units

Annual report


As an intregral part of debt administration, each year, Government Debt Management compiles the publication "Danish Government Borrowing and Debt". The publication describes the development the past year, and reports on issues of importance regarding government debt management.

Danish Government Borrowing and Debt
13
12
11
10
09
08
07
06
05
04
Overview


SLOG overview

Special-Topics section from Danish Government Borrowing and Debt:
Each edition of Danish Government Borrowing and Debt contains a number of special-topic chapters. Below is a list of the special-topic chapters.

Special-Topics section
2012
Costs and Benefits of Issuing Inflation-Linked Bonds
Sovereign Credit Default Swaps
2011
Inflation-Linked Bonds
2010
Government Bond Auctions
Interest-Rate Models for Cost-at-Risk Analysis
Use of Swaps by the Central Government
2009
Management of the Central Government's Interest-Rate Risk
Issuance Strategy in the Coming Years
New Market-Making Obligations for Primary Dealers
2008
The Role of Government Debt Management Offices in the Light of the Financial Crisis
Consolidated Risk Management by the Government
2007
Government Debt Policy in the Light of Falling Debt
Summary and Conclusion
I. Borrowing Requirement and Issuance Strategy
II. Costs of Re-Establishing the Market for Danish Government Securities
III. The Role of Government Securities in the Danish Financial Market
2006
Management of the central government's interest-rate risk
Experience with falling central-government debt
Performance evaluation of government debt policy
Integration of the European government bond markets
2005
Issuance of Long-Term Government Bonds
Interest-Rate Models for Cost-at-Risk Analysis
Government Cash Management
2004
Issuance of Government Bonds
Loan Guarantees and Re-Lending
2003
The Treasury Bill Programme
MTS Denmark and the Primary Dealer System for Danish Government Securities
Re-lending to Danish Ship Finance
Interest-Rate Risk Management – New Initiatives
2002
Liquidity in the Danish Government Securities Market
Electronic Trading and Market-Making in Danish Government Bonds
Interest Rate Risk Management of Central-Government Debt
2001
Consequences of Budget Surpluses for Government Debt Policy
Recent Trends in Primary Dealer Systems
Interest-Rate Models for Cost-at-Risk
2000
Trends in the Government Debt Policies of EU Member States
Coordinated Management of the Exchange-Rate Risk of the Central Government and Danmarks Nationalbank
Scenario Analyses of the Government Debt
Cost-at-Risk
Credit Risks on Swap Counterparties





Last update: 02/24/2014

 
Read by others
 


Danmarks Nationalbank
Havnegade 5
DK - 1093
Copenhagen K
Denmark
Contact us Disclaimer