Central government borrowing and debt
Overview of special-topic
| Topic | Report year | Chapter / Page |
| Consequences of budget surpluses for government debt policy | 2001 |
Chapter 7 p. 81 |
| Consolidated risk management by the government | 2008 |
Chapter 11 p. 105 |
| Coordinated management of the exchange-rate risk of the central government and Danmarks Nationalbank | 2000 |
Chapter 8 p. 91 |
| Cost-at-risk | 2000 |
Chapter 10 p. 105 |
| Costs and benefts of issuing inflation-linked bonds | 2012 |
Chapter 10 p. 103 |
| Credit risk management: Transition to two-way collateral agreements | 2015 |
Chapter 4 p. 29 |
| Credit risks on swap counterparties | 2000 |
Chapter 11 p. 117 |
| Electronic trading and market-making in Danish government bonds | 2002 |
Chapter 9 p. 107 |
| Experience with falling central-government debt | 2006 |
Chapter 10 p. 103 |
| Government bond auctions | 2010 |
Chapter 10 p. 91 |
| Government cash management | 2005 |
Chapter 11 p. 115 |
| Government debt management offices in the light of the financial crisis | 2008 |
Chapter 10 p. 95 |
| Government debt policy in the light of falling debt: Borrowing requirement and issuance strategy | 2007 |
Chapter I p. 87 |
| Government debt policy in the light of falling debt: Costs of re-establishing the market for Danish government securities | 2007 |
Chapter II p. 99 |
| Government debt policy in the light of falling debt: The role of government securities in the Danish financial market | 2007 |
Chapter III p. 107 |
| Implication of term premia for the central government as issuer | 2013 |
Chapter 9 p. 99 |
| Inflation-linked bonds | 2011 |
Chapter 10 p. 89 |
| Integration of the European government bond markets | 2006 |
Chapter 12 p. 127 |
| Interest-rate models for cost-at-risk | 2001 |
Chapter 9 p. 105 |
| Interest-rate models for cost-at-risk analysis | 2010 |
Chapter 11 p. 101 |
| Interest-rate models for cost-at-risk analysis | 2005 |
Chapter 10 p. 99 |
| Interest-rate risk management – new initiatives | 2003 |
Chapter 11 p. 117 |
| Interest-rate risk management of central government debt | 2002 |
Chapter 10 p. 117 |
| Issuance of government bonds | 2004 |
Chapter 8 p. 89 |
| Issuance of long-term government bonds | 2005 |
Chapter 9 p. 89 |
| Issuance strategy in the coming years | 2009 |
Chapter 11 p. 105 |
| Liquidity in Danish government securities | 2013 |
Chapter 8 p. 79 |
| Liquidity in the Danish government securities market | 2002 |
Chapter 8 p. 93 |
| Loan guarantees and re-lending | 2004 |
Chapter 9 p. 101 |
| Management of the central government's interest-rate risk |
2006 |
Chapter 9 p. 91 |
| Management of the central government's interest-rate risk | 2009 |
Chapter 10 p. 93 |
| Market risk management in a low interest rate environment | 2015 |
Chapter 3 p. 21 |
| MTS Denmark and the primary dealer system for Danish government securities | 2003 |
Chapter 9 p. 93 |
| New market-making obligations for primary dealers | 2009 |
Chapter 12 p. 111 |
| On-lending and government guarantees | 2014 |
Chapter 6 p. 45 |
| Performance evaluation of government debt policy | 2006 |
Chapter 11 p. 113 |
| Recent trends in primary dealer systems | 2001 |
Chapter 8 p. 93 |
| Re-lending to Danish Ship Finance | 2003 |
Chapter 10 p. 107 |
| Scenario analyses of the government debt | 2000 |
Chapter 9 p. 97 |
| Sovereign credit default swaps | 2012 |
Chapter 11 p. 117 |
| The treasury bill programme | 2003 |
Chapter 8 p. 81 |
| Trends in the government debt policies of EU member states | 2000 |
Chapter 7 p. 77 |
| Use of swaps by the central government | 2010 |
Chapter 12 p. 115 |
| Note: All references are to the English version of the report. | ||