Goldman Sachs and the Republic of the Philippines
Author: Smith, Roy C. ; Walter, IngoINSEAD Area: Economics and Political SciencePublisher: Fontainebleau : INSEAD, 1993. ; New York University Press, 1993.Language: EnglishDescription: 15 p.Type of document: INSEAD CaseNote: Latest version available via https://publishing.insead.eduAbstract: Assessment of risk associated with a new issue of bonds by the Republic of the Philippines, brought to market in 1993 by JP Morgan, for sale to global institutional and private investors. What are the risks, and how do they compare with the returns?Pedagogical Objectives: Calibration of country risk in internationally placed sovereign bonds; strategic issues facing an investment bank, Goldman Sachs and Co., in entering the emerging markets debt businessItem type | Current location | Collection | Call number | Status | Date due | Barcode | Item holds |
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Europe Campus INSEAD Publications Display | Consultation only | BC000175 |
Latest version available via <a href=https://publishing.insead.edu>https://publishing.insead.edu</a>
Calibration of country risk in internationally placed sovereign bonds; strategic issues facing an investment bank, Goldman Sachs and Co., in entering the emerging markets debt business
Assessment of risk associated with a new issue of bonds by the Republic of the Philippines, brought to market in 1993 by JP Morgan, for sale to global institutional and private investors. What are the risks, and how do they compare with the returns?
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