Report to the Monetary Board: december 1983
dc.contributor.author | Banco Central de la República Dominicana | es |
dc.contributor.author | Samuel Montagu & Co. Limited | |
dc.date.accessioned | 2024-09-12T16:07:48Z | |
dc.date.available | 2024-09-12T16:07:48Z | |
dc.date.issued | 1983-12 | |
dc.description.tableofcontents | Introdución, 1 -- Foreingn comercial bank refinancing/debt control system, 1 -- Roasario Dominicana, 1 -- Freeports and foreign private direct investment, 2 -- Financial report, 2 -- Paris club, 2 -- Investment of foreign reserves, 2 -- Parallel foreign exchange market, 3 -- Gold operatios, 3 -- Official finance, 4 -- Appendices: Payments under the refinancing agrement, 5 -- The case for a public debt office, 8 -- Freeports proposal, 14 -- Distribution list for financial report, 15 -- Paris club reschedulings 1980-83, 22 -- Paris club bilateral agreements, 23 -- Latin American comercial bank reschedulings, 26 -- Management of the foreign reserves, 28 -- Gold swaps and forward transactions, 32 | en |
dc.format.extent | 35 página | es |
dc.format.mimetype | application/pdf | |
dc.identifier.uri | https://repositoriocultural.bancentral.gov.do/handle/123456789/815 | |
dc.language | Inglés | es |
dc.language.iso | en | en |
dc.place | Santo Domingo | es |
dc.publisher | Banco Central de la República Dominicana | es |
dc.subject | Bancos comerciales | es |
dc.subject | Inversiones extranjeras | es |
dc.title | Report to the Monetary Board: december 1983 | en |
dc.type | Folleto | es |
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