Republic of Kenya : Medium Term Debt Management Strategy, 2010/11-2012/13
The objective of debt management in Kenya is to finance the Government financing requirements at the least cost with a prudent degree of risk. The 2010 Medium Term Debt Strategy (MTDS) is a versatile public debt management tool linked to the medium...
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Format: | Other Financial Sector Study |
Language: | English en_US |
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Nairobi
2014
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Online Access: | http://documents.worldbank.org/curated/en/2010/06/18792323/kenya-medium-term-debt-management-strategy-2010 http://hdl.handle.net/10986/17657 |
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oai_dc |
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Digital Repository |
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Foreign Institution |
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World Bank Open Knowledge Repository |
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World Bank |
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English en_US |
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ACCOUNTING ACTIVE DEBT AMORTIZATION ANNUAL BORROWING PLAN AUCTION BALANCE OF PAYMENT BALANCE OF PAYMENTS BANK RATE BASIS POINTS BENCHMARK BONDS BILATERAL CREDITORS BOND BOND INDEX BOND ISSUES BORROWING PLAN BORROWING PLANS BORROWING STRATEGY BUDGET DEFICIT BULLET BOND BULLET REPAYMENT CAPACITY BUILDING CAPITAL FLOW CASH FLOW CENTRAL BANK CENTRAL GOVERNMENT DEBT COMMERCIAL BANKS COMMERCIAL DEBT COMMERCIAL TERMS COMPOSITION OF DEBT CONSUMER PRICE INDEX CONTINGENT LIABILITIES CONTINGENT LIABILITY CORPORATE BOND CORPORATE BOND MARKETS COUPON COUPON RATE CREDIBILITY CREDIT AGENCIES CREDIT MARKET CREDIT SPREAD CREDITOR CREDITORS CURRENCY COMPOSITION DEBT DEBT BURDEN DEBT DATABASE DEBT FINANCING DEBT ISSUES DEBT LEVEL DEBT MANAGEMENT DEBT MANAGEMENT DEPARTMENT DEBT MANAGEMENT OPERATIONS DEBT MANAGEMENT STRATEGY DEBT MANAGERS DEBT PORTFOLIO DEBT RECORDING DEBT RECORDING SYSTEM DEBT REPAYMENT DEBT SERVICE DEBT STOCK DEBT STRATEGY DEBT SUSTAINABILITY DEBT SUSTAINABILITY ANALYSIS DEGREE OF RISK DEPOSIT DEVALUATION DEVELOPMENT BANK DISBURSEMENT DISBURSEMENTS DOMESTIC BORROWING DOMESTIC DEBT DOMESTIC DEBT MARKET DOMESTIC FINANCING DOMESTIC INTEREST RATES DOMESTIC MARKET EMERGING MARKETS EXCHANGE RATE EXCHANGE RATE MOVEMENTS EXCHANGE RATES EXPENDITURE EXPENDITURES EXTERNAL BORROWING EXTERNAL DEBT EXTERNAL FINANCING EXTERNAL LOANS EXTERNAL RESOURCES FINANCIAL MANAGEMENT FINANCIAL MARKETS FINANCING REQUIREMENT FINANCING REQUIREMENTS FIXED INTEREST FIXED INTEREST RATE FLOATING RATE FOREIGN CURRENCY FOREIGN DEBT FOREIGN DIRECT INVESTMENT FOREIGN EXCHANGE FOREIGN EXCHANGE RESERVES FOREIGN INVESTORS GLOBAL ECONOMY GOVERNMENT BORROWING GOVERNMENT BUDGET GOVERNMENT DEBT GOVERNMENT FINANCING GOVERNMENT INVESTMENT GRACE PERIOD GROSS DOMESTIC PRODUCT HOLDINGS HUMAN RESOURCE INFLATION INFLATION RISK INFLATIONS INFORMATION SYSTEM INFRASTRUCTURE BOND INFRASTRUCTURE BONDS INFRASTRUCTURE INVESTMENT INSTITUTIONAL INVESTORS INSTRUMENT INTEREST COSTS INTEREST RATE INTEREST RATE RISK INTEREST RATES ON GOVERNMENT SECURITIES INTEREST RATES ON TREASURY BILLS INTERNATIONAL BOND INTERNATIONAL CAPITAL INTERNATIONAL CAPITAL MARKET INTERNATIONAL CAPITAL MARKETS INTERNATIONAL DEVELOPMENT INTERNATIONAL FINANCE INTERNATIONAL MARKET INVESTMENT BANK INVESTMENT PROJECTS INVESTOR BASE INVESTOR DEMAND INVESTORS IN GOVERNMENT SECURITIES IPO ISSUANCE ISSUANCE OF TREASURY BILLS LEGAL AUTHORITY LEGAL FRAMEWORK LEVEL OF DEBT LIQUIDITY LOAN LOAN AGREEMENT LOAN GUARANTEE LOAN GUARANTEES LOCAL ECONOMY LONG-TERM DEBT MACROECONOMIC ENVIRONMENT MACROECONOMIC POLICY MACROECONOMIC RISKS MACROECONOMIC STABILITY MARKET CONDITIONS MARKET DEEPENING MARKET DEVELOPMENT MARKET ENVIRONMENT MARKET INFRASTRUCTURE MARKET PARTICIPANTS MARKET PRICES MATURITIES MATURITY MATURITY STRUCTURE MONETARY FUND MONETARY POLICY MONEY MARKET MONEY MARKET INSTRUMENTS MULTILATERAL CREDITORS NATURAL DISASTERS OVERDRAFT FACILITY POLITICAL UNCERTAINTY PORTFOLIO PORTFOLIO MANAGEMENT PORTFOLIO RISKS PRINCIPAL PAYMENTS PUBLIC DEBT PUBLIC DEBT MANAGEMENT PUBLIC EXTERNAL DEBT RATES OF RETURN REAL INTEREST REMITTANCE REMITTANCES REPO REPO AGREEMENTS REPO MARKET RESERVES RETAIL INVESTOR RETAIL INVESTORS RETURNS RISK EXPOSURE RISK OF DEFAULT SECONDARY MARKET SECONDARY MARKET TRADING SETTLEMENT SETTLEMENT OF TRADES SHORT-TERM BONDS SHORT-TERM EXTERNAL DEBT SHORT-TERM INTEREST RATES SINKING FUND SOVEREIGN BOND SOVEREIGN DEBT SOVEREIGN DEBT MARKETS SOVEREIGN RISK STOCK EXCHANGE TOTAL DEBT TOTAL EXTERNAL DEBT TRADING TRADING SYSTEM TRANSPARENCY TREASURY TREASURY BILL TREASURY BILLS TREASURY BONDS YIELD CURVE YIELD CURVES |
spellingShingle |
ACCOUNTING ACTIVE DEBT AMORTIZATION ANNUAL BORROWING PLAN AUCTION BALANCE OF PAYMENT BALANCE OF PAYMENTS BANK RATE BASIS POINTS BENCHMARK BONDS BILATERAL CREDITORS BOND BOND INDEX BOND ISSUES BORROWING PLAN BORROWING PLANS BORROWING STRATEGY BUDGET DEFICIT BULLET BOND BULLET REPAYMENT CAPACITY BUILDING CAPITAL FLOW CASH FLOW CENTRAL BANK CENTRAL GOVERNMENT DEBT COMMERCIAL BANKS COMMERCIAL DEBT COMMERCIAL TERMS COMPOSITION OF DEBT CONSUMER PRICE INDEX CONTINGENT LIABILITIES CONTINGENT LIABILITY CORPORATE BOND CORPORATE BOND MARKETS COUPON COUPON RATE CREDIBILITY CREDIT AGENCIES CREDIT MARKET CREDIT SPREAD CREDITOR CREDITORS CURRENCY COMPOSITION DEBT DEBT BURDEN DEBT DATABASE DEBT FINANCING DEBT ISSUES DEBT LEVEL DEBT MANAGEMENT DEBT MANAGEMENT DEPARTMENT DEBT MANAGEMENT OPERATIONS DEBT MANAGEMENT STRATEGY DEBT MANAGERS DEBT PORTFOLIO DEBT RECORDING DEBT RECORDING SYSTEM DEBT REPAYMENT DEBT SERVICE DEBT STOCK DEBT STRATEGY DEBT SUSTAINABILITY DEBT SUSTAINABILITY ANALYSIS DEGREE OF RISK DEPOSIT DEVALUATION DEVELOPMENT BANK DISBURSEMENT DISBURSEMENTS DOMESTIC BORROWING DOMESTIC DEBT DOMESTIC DEBT MARKET DOMESTIC FINANCING DOMESTIC INTEREST RATES DOMESTIC MARKET EMERGING MARKETS EXCHANGE RATE EXCHANGE RATE MOVEMENTS EXCHANGE RATES EXPENDITURE EXPENDITURES EXTERNAL BORROWING EXTERNAL DEBT EXTERNAL FINANCING EXTERNAL LOANS EXTERNAL RESOURCES FINANCIAL MANAGEMENT FINANCIAL MARKETS FINANCING REQUIREMENT FINANCING REQUIREMENTS FIXED INTEREST FIXED INTEREST RATE FLOATING RATE FOREIGN CURRENCY FOREIGN DEBT FOREIGN DIRECT INVESTMENT FOREIGN EXCHANGE FOREIGN EXCHANGE RESERVES FOREIGN INVESTORS GLOBAL ECONOMY GOVERNMENT BORROWING GOVERNMENT BUDGET GOVERNMENT DEBT GOVERNMENT FINANCING GOVERNMENT INVESTMENT GRACE PERIOD GROSS DOMESTIC PRODUCT HOLDINGS HUMAN RESOURCE INFLATION INFLATION RISK INFLATIONS INFORMATION SYSTEM INFRASTRUCTURE BOND INFRASTRUCTURE BONDS INFRASTRUCTURE INVESTMENT INSTITUTIONAL INVESTORS INSTRUMENT INTEREST COSTS INTEREST RATE INTEREST RATE RISK INTEREST RATES ON GOVERNMENT SECURITIES INTEREST RATES ON TREASURY BILLS INTERNATIONAL BOND INTERNATIONAL CAPITAL INTERNATIONAL CAPITAL MARKET INTERNATIONAL CAPITAL MARKETS INTERNATIONAL DEVELOPMENT INTERNATIONAL FINANCE INTERNATIONAL MARKET INVESTMENT BANK INVESTMENT PROJECTS INVESTOR BASE INVESTOR DEMAND INVESTORS IN GOVERNMENT SECURITIES IPO ISSUANCE ISSUANCE OF TREASURY BILLS LEGAL AUTHORITY LEGAL FRAMEWORK LEVEL OF DEBT LIQUIDITY LOAN LOAN AGREEMENT LOAN GUARANTEE LOAN GUARANTEES LOCAL ECONOMY LONG-TERM DEBT MACROECONOMIC ENVIRONMENT MACROECONOMIC POLICY MACROECONOMIC RISKS MACROECONOMIC STABILITY MARKET CONDITIONS MARKET DEEPENING MARKET DEVELOPMENT MARKET ENVIRONMENT MARKET INFRASTRUCTURE MARKET PARTICIPANTS MARKET PRICES MATURITIES MATURITY MATURITY STRUCTURE MONETARY FUND MONETARY POLICY MONEY MARKET MONEY MARKET INSTRUMENTS MULTILATERAL CREDITORS NATURAL DISASTERS OVERDRAFT FACILITY POLITICAL UNCERTAINTY PORTFOLIO PORTFOLIO MANAGEMENT PORTFOLIO RISKS PRINCIPAL PAYMENTS PUBLIC DEBT PUBLIC DEBT MANAGEMENT PUBLIC EXTERNAL DEBT RATES OF RETURN REAL INTEREST REMITTANCE REMITTANCES REPO REPO AGREEMENTS REPO MARKET RESERVES RETAIL INVESTOR RETAIL INVESTORS RETURNS RISK EXPOSURE RISK OF DEFAULT SECONDARY MARKET SECONDARY MARKET TRADING SETTLEMENT SETTLEMENT OF TRADES SHORT-TERM BONDS SHORT-TERM EXTERNAL DEBT SHORT-TERM INTEREST RATES SINKING FUND SOVEREIGN BOND SOVEREIGN DEBT SOVEREIGN DEBT MARKETS SOVEREIGN RISK STOCK EXCHANGE TOTAL DEBT TOTAL EXTERNAL DEBT TRADING TRADING SYSTEM TRANSPARENCY TREASURY TREASURY BILL TREASURY BILLS TREASURY BONDS YIELD CURVE YIELD CURVES Ministry of Finance Republic of Kenya : Medium Term Debt Management Strategy, 2010/11-2012/13 |
geographic_facet |
Africa Kenya |
description |
The objective of debt management in
Kenya is to finance the Government financing requirements at
the least cost with a prudent degree of risk. The 2010
Medium Term Debt Strategy (MTDS) is a versatile public debt
management tool linked to the medium term fiscal framework
that contains prudent revenue projections and planned
expenditures consistent with Kenya's economic recovery
effort. The strategy seeks to address the terms of new
borrowing, including the appropriate mix between domestic
and external debt. This report explores the objectives of
debt management in Kenya, an overview of the previous medium
term debt strategy, key developments, characteristics of the
existing debt portfolio, outcomes of analysis of strategies,
debt sustainability and implementing the 2010 MTDS. |
format |
Economic & Sector Work :: Other Financial Sector Study |
author |
Ministry of Finance |
author_facet |
Ministry of Finance |
author_sort |
Ministry of Finance |
title |
Republic of Kenya : Medium Term Debt Management Strategy, 2010/11-2012/13 |
title_short |
Republic of Kenya : Medium Term Debt Management Strategy, 2010/11-2012/13 |
title_full |
Republic of Kenya : Medium Term Debt Management Strategy, 2010/11-2012/13 |
title_fullStr |
Republic of Kenya : Medium Term Debt Management Strategy, 2010/11-2012/13 |
title_full_unstemmed |
Republic of Kenya : Medium Term Debt Management Strategy, 2010/11-2012/13 |
title_sort |
republic of kenya : medium term debt management strategy, 2010/11-2012/13 |
publisher |
Nairobi |
publishDate |
2014 |
url |
http://documents.worldbank.org/curated/en/2010/06/18792323/kenya-medium-term-debt-management-strategy-2010 http://hdl.handle.net/10986/17657 |
_version_ |
1764437835159437312 |
spelling |
okr-10986-176572021-04-23T14:03:39Z Republic of Kenya : Medium Term Debt Management Strategy, 2010/11-2012/13 Ministry of Finance ACCOUNTING ACTIVE DEBT AMORTIZATION ANNUAL BORROWING PLAN AUCTION BALANCE OF PAYMENT BALANCE OF PAYMENTS BANK RATE BASIS POINTS BENCHMARK BONDS BILATERAL CREDITORS BOND BOND INDEX BOND ISSUES BORROWING PLAN BORROWING PLANS BORROWING STRATEGY BUDGET DEFICIT BULLET BOND BULLET REPAYMENT CAPACITY BUILDING CAPITAL FLOW CASH FLOW CENTRAL BANK CENTRAL GOVERNMENT DEBT COMMERCIAL BANKS COMMERCIAL DEBT COMMERCIAL TERMS COMPOSITION OF DEBT CONSUMER PRICE INDEX CONTINGENT LIABILITIES CONTINGENT LIABILITY CORPORATE BOND CORPORATE BOND MARKETS COUPON COUPON RATE CREDIBILITY CREDIT AGENCIES CREDIT MARKET CREDIT SPREAD CREDITOR CREDITORS CURRENCY COMPOSITION DEBT DEBT BURDEN DEBT DATABASE DEBT FINANCING DEBT ISSUES DEBT LEVEL DEBT MANAGEMENT DEBT MANAGEMENT DEPARTMENT DEBT MANAGEMENT OPERATIONS DEBT MANAGEMENT STRATEGY DEBT MANAGERS DEBT PORTFOLIO DEBT RECORDING DEBT RECORDING SYSTEM DEBT REPAYMENT DEBT SERVICE DEBT STOCK DEBT STRATEGY DEBT SUSTAINABILITY DEBT SUSTAINABILITY ANALYSIS DEGREE OF RISK DEPOSIT DEVALUATION DEVELOPMENT BANK DISBURSEMENT DISBURSEMENTS DOMESTIC BORROWING DOMESTIC DEBT DOMESTIC DEBT MARKET DOMESTIC FINANCING DOMESTIC INTEREST RATES DOMESTIC MARKET EMERGING MARKETS EXCHANGE RATE EXCHANGE RATE MOVEMENTS EXCHANGE RATES EXPENDITURE EXPENDITURES EXTERNAL BORROWING EXTERNAL DEBT EXTERNAL FINANCING EXTERNAL LOANS EXTERNAL RESOURCES FINANCIAL MANAGEMENT FINANCIAL MARKETS FINANCING REQUIREMENT FINANCING REQUIREMENTS FIXED INTEREST FIXED INTEREST RATE FLOATING RATE FOREIGN CURRENCY FOREIGN DEBT FOREIGN DIRECT INVESTMENT FOREIGN EXCHANGE FOREIGN EXCHANGE RESERVES FOREIGN INVESTORS GLOBAL ECONOMY GOVERNMENT BORROWING GOVERNMENT BUDGET GOVERNMENT DEBT GOVERNMENT FINANCING GOVERNMENT INVESTMENT GRACE PERIOD GROSS DOMESTIC PRODUCT HOLDINGS HUMAN RESOURCE INFLATION INFLATION RISK INFLATIONS INFORMATION SYSTEM INFRASTRUCTURE BOND INFRASTRUCTURE BONDS INFRASTRUCTURE INVESTMENT INSTITUTIONAL INVESTORS INSTRUMENT INTEREST COSTS INTEREST RATE INTEREST RATE RISK INTEREST RATES ON GOVERNMENT SECURITIES INTEREST RATES ON TREASURY BILLS INTERNATIONAL BOND INTERNATIONAL CAPITAL INTERNATIONAL CAPITAL MARKET INTERNATIONAL CAPITAL MARKETS INTERNATIONAL DEVELOPMENT INTERNATIONAL FINANCE INTERNATIONAL MARKET INVESTMENT BANK INVESTMENT PROJECTS INVESTOR BASE INVESTOR DEMAND INVESTORS IN GOVERNMENT SECURITIES IPO ISSUANCE ISSUANCE OF TREASURY BILLS LEGAL AUTHORITY LEGAL FRAMEWORK LEVEL OF DEBT LIQUIDITY LOAN LOAN AGREEMENT LOAN GUARANTEE LOAN GUARANTEES LOCAL ECONOMY LONG-TERM DEBT MACROECONOMIC ENVIRONMENT MACROECONOMIC POLICY MACROECONOMIC RISKS MACROECONOMIC STABILITY MARKET CONDITIONS MARKET DEEPENING MARKET DEVELOPMENT MARKET ENVIRONMENT MARKET INFRASTRUCTURE MARKET PARTICIPANTS MARKET PRICES MATURITIES MATURITY MATURITY STRUCTURE MONETARY FUND MONETARY POLICY MONEY MARKET MONEY MARKET INSTRUMENTS MULTILATERAL CREDITORS NATURAL DISASTERS OVERDRAFT FACILITY POLITICAL UNCERTAINTY PORTFOLIO PORTFOLIO MANAGEMENT PORTFOLIO RISKS PRINCIPAL PAYMENTS PUBLIC DEBT PUBLIC DEBT MANAGEMENT PUBLIC EXTERNAL DEBT RATES OF RETURN REAL INTEREST REMITTANCE REMITTANCES REPO REPO AGREEMENTS REPO MARKET RESERVES RETAIL INVESTOR RETAIL INVESTORS RETURNS RISK EXPOSURE RISK OF DEFAULT SECONDARY MARKET SECONDARY MARKET TRADING SETTLEMENT SETTLEMENT OF TRADES SHORT-TERM BONDS SHORT-TERM EXTERNAL DEBT SHORT-TERM INTEREST RATES SINKING FUND SOVEREIGN BOND SOVEREIGN DEBT SOVEREIGN DEBT MARKETS SOVEREIGN RISK STOCK EXCHANGE TOTAL DEBT TOTAL EXTERNAL DEBT TRADING TRADING SYSTEM TRANSPARENCY TREASURY TREASURY BILL TREASURY BILLS TREASURY BONDS YIELD CURVE YIELD CURVES The objective of debt management in Kenya is to finance the Government financing requirements at the least cost with a prudent degree of risk. The 2010 Medium Term Debt Strategy (MTDS) is a versatile public debt management tool linked to the medium term fiscal framework that contains prudent revenue projections and planned expenditures consistent with Kenya's economic recovery effort. The strategy seeks to address the terms of new borrowing, including the appropriate mix between domestic and external debt. This report explores the objectives of debt management in Kenya, an overview of the previous medium term debt strategy, key developments, characteristics of the existing debt portfolio, outcomes of analysis of strategies, debt sustainability and implementing the 2010 MTDS. 2014-04-07T20:07:38Z 2014-04-07T20:07:38Z 2010-06 http://documents.worldbank.org/curated/en/2010/06/18792323/kenya-medium-term-debt-management-strategy-2010 http://hdl.handle.net/10986/17657 English en_US CC BY 3.0 IGO http://creativecommons.org/licenses/by/3.0/igo/ Nairobi Economic & Sector Work :: Other Financial Sector Study Africa Kenya |