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Commodity risk management and finance (anglais)

The collection of papers brought together in this volume was written to advance knowledge about the demand, pricing, and use of commodity-linked finance. During the 1980s it became obvious that developing countries faced great difficulties in raising external finance and in servicing their external debts, due in large part to the sharp fluctuations in the prices received for their primary commodity exports. Their terms of trade are also very susceptible...
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