Global Development Finance 2005 : Mobilizing Finance and Managing Vulnerability, Volume 1. Analysis and Statistical Appendix
This report is comprised of two volumes. Global Development Finance 2005 I: Analysis and Statistical Appendix addresses two key challenges in development finance: first, how to raise resources flowing to low-income countries, which are heavily constrained in their access to market-based finance. Sec...
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okr-10986-81352021-04-23T14:02:43Z Global Development Finance 2005 : Mobilizing Finance and Managing Vulnerability, Volume 1. Analysis and Statistical Appendix World Bank ACCOUNTING ASSET PRICES BALANCE SHEETS BANK FOR INTERNATIONAL SETTLEMENTS BANK LENDING BANK LOANS BANKING SECTOR BOND MARKETS BONDS BORROWING BORROWING COSTS CAPITAL ADEQUACY CAPITAL FLOWS CAPITAL INFLOWS CAPITAL MARKETS CAPITALIZATION CENTRAL BANK CENTRAL BANKS CREDIT RISK CURRENT ACCOUNT CURRENT ACCOUNT DEFICIT DEBT DEBT RESTRUCTURING DEVELOPING COUNTRIES DEVELOPING COUNTRY DEVELOPING COUNTRY DEBT DEVELOPMENT ASSISTANCE DEVELOPMENT ECONOMICS EBA ECONOMIC GROWTH ECONOMIC OUTLOOK ECONOMIC PERFORMANCE EMERGING MARKET ECONOMIES EMERGING MARKETS EXCESS LIQUIDITY EXCHANGE RATE EXCHANGE RATES EXPORTS EXTERNAL BORROWING EXTERNAL DEBT EXTERNAL DEBT BURDEN EXTERNAL SHOCKS FINANCIAL CRISES FINANCIAL DATA FINANCIAL ENVIRONMENT FINANCIAL MARKETS FINANCIAL SECTOR FINANCIAL SYSTEM FINANCING SOURCES FISCAL POLICIES FISCAL POLICY FORECASTS FOREIGN COMPETITION FOREIGN CURRENCY FOREIGN EXCHANGE FOREIGN EXCHANGE RESERVES GDP GLOBAL MARKETS GNP GROSS DOMESTIC PRODUCT GROSS NATIONAL PRODUCT GROWTH PROJECTIONS INCOME INDUSTRIAL ECONOMIES INFLATION INTEREST RATES INTERNATIONAL BANK LENDING INTERNATIONAL FINANCE INTERNATIONAL FINANCIAL ARCHITECTURE INTERNATIONAL MONETARY FUND LATIN AMERICAN LIABILITY MANAGEMENT LOCAL CURRENCY LOW-INCOME COUNTRIES MACROECONOMIC CONSEQUENCES MACROECONOMIC MANAGEMENT MIDDLE-INCOME COUNTRIES MONETARY AUTHORITIES MONETARY POLICY NATIONAL INCOME NET DEBT PAYMENTS IMBALANCES POLICY IMPROVEMENTS POVERTY REDUCTION PRICE INDEXES PRIVATE INVESTMENT PRIVATE SECTOR PRUDENTIAL REGULATIONS PUBLIC DEBT PUBLIC SECTOR PURCHASING POWER RATING AGENCIES REAL INTEREST REAL INTEREST RATES RESERVE RESERVE ADEQUACY RESERVE ASSETS RISING TREND RISK PREMIUM SECURITIES SECURITIZATION SHORT-TERM DEBT SLOW GROWTH STRUCTURAL ADJUSTMENT STRUCTURAL REFORMS SUB-SAHARAN AFRICA SUBSIDIARY SYSTEMIC RISK TAX REVENUES TRADE COMPETITIVENESS TRADE LIBERALIZATION TRANSPARENCY VALUATION WORLD TRADE ORGANIZATION WTO This report is comprised of two volumes. Global Development Finance 2005 I: Analysis and Statistical Appendix addresses two key challenges in development finance: first, how to raise resources flowing to low-income countries, which are heavily constrained in their access to market-based finance. Second, how to manage the vulnerability inherent in developing countries' access to finance -- vulnerability stemming from changes in the global macro environment, as well as from shifting donor priorities (affecting aid and concessional finance) and changing debt dynamics in developing countries. Global Development Finance 2005 II: Summary and Country Tables includes a comprehensive set of tables of data for 136 countries that report under the World Bank Debtor Reporting System, as well as summary data for regions and income groups. It contains data on total external debt stocks and flows, aggregates, and key debt ratios, and provides a detailed, country-by-country picture of debt. Global Development Finance 2005 debt data are also available on CD-ROM and online, with more than 200 historical time series from 1970 to 2003 and country group estimates for 2004. 2012-06-15T10:37:58Z 2012-06-15T10:37:58Z 2005 http://documents.worldbank.org/curated/en/2005/04/6427858/global-development-finance-2005-mobilizing-finance-managing-vulnerability-vol-1-3-analysis-statistical-appendix 978-0-8213-5984-6 http://hdl.handle.net/10986/8135 English Global development finance CC BY 3.0 IGO http://creativecommons.org/licenses/by/3.0/igo World Bank Publications & Research :: Publication Publications & Research |
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Digital Repository |
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Foreign Institution |
institution |
Digital Repositories |
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World Bank Open Knowledge Repository |
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World Bank |
language |
English |
topic |
ACCOUNTING ASSET PRICES BALANCE SHEETS BANK FOR INTERNATIONAL SETTLEMENTS BANK LENDING BANK LOANS BANKING SECTOR BOND MARKETS BONDS BORROWING BORROWING COSTS CAPITAL ADEQUACY CAPITAL FLOWS CAPITAL INFLOWS CAPITAL MARKETS CAPITALIZATION CENTRAL BANK CENTRAL BANKS CREDIT RISK CURRENT ACCOUNT CURRENT ACCOUNT DEFICIT DEBT DEBT RESTRUCTURING DEVELOPING COUNTRIES DEVELOPING COUNTRY DEVELOPING COUNTRY DEBT DEVELOPMENT ASSISTANCE DEVELOPMENT ECONOMICS EBA ECONOMIC GROWTH ECONOMIC OUTLOOK ECONOMIC PERFORMANCE EMERGING MARKET ECONOMIES EMERGING MARKETS EXCESS LIQUIDITY EXCHANGE RATE EXCHANGE RATES EXPORTS EXTERNAL BORROWING EXTERNAL DEBT EXTERNAL DEBT BURDEN EXTERNAL SHOCKS FINANCIAL CRISES FINANCIAL DATA FINANCIAL ENVIRONMENT FINANCIAL MARKETS FINANCIAL SECTOR FINANCIAL SYSTEM FINANCING SOURCES FISCAL POLICIES FISCAL POLICY FORECASTS FOREIGN COMPETITION FOREIGN CURRENCY FOREIGN EXCHANGE FOREIGN EXCHANGE RESERVES GDP GLOBAL MARKETS GNP GROSS DOMESTIC PRODUCT GROSS NATIONAL PRODUCT GROWTH PROJECTIONS INCOME INDUSTRIAL ECONOMIES INFLATION INTEREST RATES INTERNATIONAL BANK LENDING INTERNATIONAL FINANCE INTERNATIONAL FINANCIAL ARCHITECTURE INTERNATIONAL MONETARY FUND LATIN AMERICAN LIABILITY MANAGEMENT LOCAL CURRENCY LOW-INCOME COUNTRIES MACROECONOMIC CONSEQUENCES MACROECONOMIC MANAGEMENT MIDDLE-INCOME COUNTRIES MONETARY AUTHORITIES MONETARY POLICY NATIONAL INCOME NET DEBT PAYMENTS IMBALANCES POLICY IMPROVEMENTS POVERTY REDUCTION PRICE INDEXES PRIVATE INVESTMENT PRIVATE SECTOR PRUDENTIAL REGULATIONS PUBLIC DEBT PUBLIC SECTOR PURCHASING POWER RATING AGENCIES REAL INTEREST REAL INTEREST RATES RESERVE RESERVE ADEQUACY RESERVE ASSETS RISING TREND RISK PREMIUM SECURITIES SECURITIZATION SHORT-TERM DEBT SLOW GROWTH STRUCTURAL ADJUSTMENT STRUCTURAL REFORMS SUB-SAHARAN AFRICA SUBSIDIARY SYSTEMIC RISK TAX REVENUES TRADE COMPETITIVENESS TRADE LIBERALIZATION TRANSPARENCY VALUATION WORLD TRADE ORGANIZATION WTO |
spellingShingle |
ACCOUNTING ASSET PRICES BALANCE SHEETS BANK FOR INTERNATIONAL SETTLEMENTS BANK LENDING BANK LOANS BANKING SECTOR BOND MARKETS BONDS BORROWING BORROWING COSTS CAPITAL ADEQUACY CAPITAL FLOWS CAPITAL INFLOWS CAPITAL MARKETS CAPITALIZATION CENTRAL BANK CENTRAL BANKS CREDIT RISK CURRENT ACCOUNT CURRENT ACCOUNT DEFICIT DEBT DEBT RESTRUCTURING DEVELOPING COUNTRIES DEVELOPING COUNTRY DEVELOPING COUNTRY DEBT DEVELOPMENT ASSISTANCE DEVELOPMENT ECONOMICS EBA ECONOMIC GROWTH ECONOMIC OUTLOOK ECONOMIC PERFORMANCE EMERGING MARKET ECONOMIES EMERGING MARKETS EXCESS LIQUIDITY EXCHANGE RATE EXCHANGE RATES EXPORTS EXTERNAL BORROWING EXTERNAL DEBT EXTERNAL DEBT BURDEN EXTERNAL SHOCKS FINANCIAL CRISES FINANCIAL DATA FINANCIAL ENVIRONMENT FINANCIAL MARKETS FINANCIAL SECTOR FINANCIAL SYSTEM FINANCING SOURCES FISCAL POLICIES FISCAL POLICY FORECASTS FOREIGN COMPETITION FOREIGN CURRENCY FOREIGN EXCHANGE FOREIGN EXCHANGE RESERVES GDP GLOBAL MARKETS GNP GROSS DOMESTIC PRODUCT GROSS NATIONAL PRODUCT GROWTH PROJECTIONS INCOME INDUSTRIAL ECONOMIES INFLATION INTEREST RATES INTERNATIONAL BANK LENDING INTERNATIONAL FINANCE INTERNATIONAL FINANCIAL ARCHITECTURE INTERNATIONAL MONETARY FUND LATIN AMERICAN LIABILITY MANAGEMENT LOCAL CURRENCY LOW-INCOME COUNTRIES MACROECONOMIC CONSEQUENCES MACROECONOMIC MANAGEMENT MIDDLE-INCOME COUNTRIES MONETARY AUTHORITIES MONETARY POLICY NATIONAL INCOME NET DEBT PAYMENTS IMBALANCES POLICY IMPROVEMENTS POVERTY REDUCTION PRICE INDEXES PRIVATE INVESTMENT PRIVATE SECTOR PRUDENTIAL REGULATIONS PUBLIC DEBT PUBLIC SECTOR PURCHASING POWER RATING AGENCIES REAL INTEREST REAL INTEREST RATES RESERVE RESERVE ADEQUACY RESERVE ASSETS RISING TREND RISK PREMIUM SECURITIES SECURITIZATION SHORT-TERM DEBT SLOW GROWTH STRUCTURAL ADJUSTMENT STRUCTURAL REFORMS SUB-SAHARAN AFRICA SUBSIDIARY SYSTEMIC RISK TAX REVENUES TRADE COMPETITIVENESS TRADE LIBERALIZATION TRANSPARENCY VALUATION WORLD TRADE ORGANIZATION WTO World Bank Global Development Finance 2005 : Mobilizing Finance and Managing Vulnerability, Volume 1. Analysis and Statistical Appendix |
relation |
Global development finance |
description |
This report is comprised of two volumes. Global Development Finance 2005 I: Analysis and Statistical Appendix addresses two key challenges in development finance: first, how to raise resources flowing to low-income countries, which are heavily constrained in their access to market-based finance. Second, how to manage the vulnerability inherent in developing countries' access to finance -- vulnerability stemming from changes in the global macro environment, as well as from shifting donor priorities (affecting aid and concessional finance) and changing debt dynamics in developing countries. Global Development Finance 2005 II: Summary and Country Tables includes a comprehensive set of tables of data for 136 countries that report under the World Bank Debtor Reporting System, as well as summary data for regions and income groups. It contains data on total external debt stocks and flows, aggregates, and key debt ratios, and provides a detailed, country-by-country picture of debt. Global Development Finance 2005 debt data are also available on CD-ROM and online, with more than 200 historical time series from 1970 to 2003 and country group estimates for 2004. |
format |
Publications & Research :: Publication |
author |
World Bank |
author_facet |
World Bank |
author_sort |
World Bank |
title |
Global Development Finance 2005 : Mobilizing Finance and Managing Vulnerability, Volume 1. Analysis and Statistical Appendix |
title_short |
Global Development Finance 2005 : Mobilizing Finance and Managing Vulnerability, Volume 1. Analysis and Statistical Appendix |
title_full |
Global Development Finance 2005 : Mobilizing Finance and Managing Vulnerability, Volume 1. Analysis and Statistical Appendix |
title_fullStr |
Global Development Finance 2005 : Mobilizing Finance and Managing Vulnerability, Volume 1. Analysis and Statistical Appendix |
title_full_unstemmed |
Global Development Finance 2005 : Mobilizing Finance and Managing Vulnerability, Volume 1. Analysis and Statistical Appendix |
title_sort |
global development finance 2005 : mobilizing finance and managing vulnerability, volume 1. analysis and statistical appendix |
publishDate |
2012 |
url |
http://documents.worldbank.org/curated/en/2005/04/6427858/global-development-finance-2005-mobilizing-finance-managing-vulnerability-vol-1-3-analysis-statistical-appendix http://hdl.handle.net/10986/8135 |
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1764408159024185344 |