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|c 5.00 USD
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|z 9781451844115
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|a 1018-5941
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|a BD-DhAAL
|c BD-DhAAL
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|a Heath, Robert.
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|a The Statistical Measurement of Financial Derivatives /
|c Robert Heath.
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|a Washington, D.C. :
|b International Monetary Fund,
|c 1998.
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|a 1 online resource (67 pages)
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|a IMF Working Papers
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|a <strong>Off-Campus Access:</strong> No User ID or Password Required
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|a <strong>On-Campus Access:</strong> No User ID or Password Required
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|a Electronic access restricted to authorized BRAC University faculty, staff and students
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|a The System of National Accounts 1993 (1993 SNA) provided new standards for the statistical treatment of financial derivatives. Subsequently, financial derivative markets have evolved, and there have been requests from national statisticians for clarification and amplification of the recommendations in the 1993 SNA and the fifth edition of the IMF's Balance of Payments Manual (BPM5). Meeting this need is the main purpose of this working paper. Its recommendations have been widely discussed in international meetings and have been approved by bodies that effect changes in the 1993 SNA and BPM5.
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|a Mode of access: Internet
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|a IMF Working Papers; Working Paper ;
|v No. 1998/024
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|z Full text available on IMF
|u http://elibrary.imf.org/view/journals/001/1998/024/001.1998.issue-024-en.xml
|z IMF e-Library
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