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我国不断扩大的国债规模对国债管理提出了新的要求。为从国债的成本和风险两个方面来综合考虑国债管理问题,本文通过借鉴金融机构的资产负债管理方法构建了一个国债管理的资产负债管理解析框架。
The ever-expanding size of our national debt has set new demands on the management of national debt. In order to consider the issue of national debt management from two aspects of the cost and risk of national debt, this paper builds an analytical framework of asset liability management of national debt management by referring to the method of asset liability management of financial institutions.