Recovery of Local and Regional Authorities in Financial Difficulties

Recovery of Local and Regional Authorities in Financial Difficulties

Author: Steering Committee on Local and Regional Democracy

Publisher: Council of Europe

Published: 2002-01-01

Total Pages: 52

ISBN-13: 9789287149589

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Local authorities in financial difficulty present a number of challenges for the central government, such as determining how deserving cases can be distinguished from unworthy ones or cases of abuse, whether financial aid or other assistance should be given, and how central government can help local authorities avoid getting into financial trouble. This report by the Steering Committee on Local and Regional Democracy (CDLR) considers these issues in terms of Council of Europe member states. It contains a number of case studies of central assistance to local authorities and seeks to analyse why local authorities are in financial difficulty and how the problem is being dealt with in practice.


The Risks Arising from Local Authorities' Financial Obligations

The Risks Arising from Local Authorities' Financial Obligations

Author: Steering Committee on Local and Regional Democracy

Publisher: Council of Europe

Published: 2002-01-01

Total Pages: 44

ISBN-13: 9789287149565

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The purpose of this report is to study the risks that are responsible for local authorities' financial difficulties. It provides both a theoretical and an empirical analysis based on the various financial risks facing local authorities and the means of assessing and controlling them. The report also sets out guidelines designed to help the various authorities concerned to avoid, spread and control these financial risks more successfully.


Government Finance Statistics Manual 2014

Government Finance Statistics Manual 2014

Author: Mrs.Sage De Clerck

Publisher: International Monetary Fund

Published: 2015-03-10

Total Pages: 470

ISBN-13: 1498379214

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The 2007–09 international financial crisis underscored the importance of reliable and timely statistics on the general government and public sectors. Government finance statistics are a basis for fiscal analysis and they play a vital role in developing and monitoring sound fiscal programs and in conducting surveillance of economic policies. The Government Finance Statistics Manual 2014 represents a major step forward in clarifying the standards for compiling and presenting fiscal statistics and strengthens the worldwide effort to improve public sector reporting and transparency.


Global Trends 2040

Global Trends 2040

Author: National Intelligence Council

Publisher: Cosimo Reports

Published: 2021-03

Total Pages: 158

ISBN-13: 9781646794973

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"The ongoing COVID-19 pandemic marks the most significant, singular global disruption since World War II, with health, economic, political, and security implications that will ripple for years to come." -Global Trends 2040 (2021) Global Trends 2040-A More Contested World (2021), released by the US National Intelligence Council, is the latest report in its series of reports starting in 1997 about megatrends and the world's future. This report, strongly influenced by the COVID-19 pandemic, paints a bleak picture of the future and describes a contested, fragmented and turbulent world. It specifically discusses the four main trends that will shape tomorrow's world: - Demographics-by 2040, 1.4 billion people will be added mostly in Africa and South Asia. - Economics-increased government debt and concentrated economic power will escalate problems for the poor and middleclass. - Climate-a hotter world will increase water, food, and health insecurity. - Technology-the emergence of new technologies could both solve and cause problems for human life. Students of trends, policymakers, entrepreneurs, academics, journalists and anyone eager for a glimpse into the next decades, will find this report, with colored graphs, essential reading.


Measuring Regional Authority

Measuring Regional Authority

Author: Liesbet Hooghe

Publisher: Oxford University Press

Published: 2016-01-28

Total Pages: 708

ISBN-13: 0191044679

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This is the first of five ambitious volumes theorizing the structure of governance above and below the central state. This book is written for those interested in the character, causes, and consequences of governance within the state and for social scientists who take measurement seriously. The book sets out a measure of regional authority for 81 countries in North America, Europe, Latin America, Asia, and the Pacific from 1950 to 2010. Subnational authority is exercised by individual regions, and this measure is the first that takes individual regions as the unit of analysis. On the premise that transparency is a fundamental virtue in measurement, the authors chart a new path in laying out their theoretical, conceptual, and scoring decisions before the reader. The book also provides summaries of regional governance in 81 countries for scholars and students alike. Transformations in Governance is a major new academic book series from Oxford University Press. It is designed to accommodate the impressive growth of research in comparative politics, international relations, public policy, federalism, environmental and urban studies concerned with the dispersion of authority from central states up to supranational institutions, down to subnational governments, and side-ways to public-private networks. It brings together work that significantly advances our understanding of the organization, causes, and consequences of multilevel and complex governance. The series is selective, containing annually a small number of books of exceptionally high quality by leading and emerging scholars. The series targets mainly single-authored or co-authored work, but it is pluralistic in terms of disciplinary specialization, research design, method, and geographical scope. Case studies as well as comparative studies, historical as well as contemporary studies, and studies with a national, regional, or international focus are all central to its aims. Authors use qualitative, quantitative, formal modeling, or mixed methods. A trade mark of the books is that they combine scholarly rigour with readable prose and an attractive production style. The series is edited by Liesbet Hooghe and Gary Marks of the University of North Carolina, Chapel Hill, and the VU Amsterdam, and Walter Mattli of the University of Oxford.


Sub-National Credit Risk and Sovereign Bailouts

Sub-National Credit Risk and Sovereign Bailouts

Author: Ms.Eva Jenkner

Publisher: International Monetary Fund

Published: 2014-01-30

Total Pages: 29

ISBN-13: 1484399137

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Studies have shown that markets may underprice sub-national governments’ risk on the implicit assumption that these entities would be bailed out by their central government in case of financial difficulties. However, the question of whether sovereigns pay a premium on their own borrowing as a result of (implicitly or explicitly) guaranteeing sub-entities’ debt has been explored only little. We use an event study approach with separate equations for two levels of government to test for a simultaneous increase in sovereign risk premia and decrease in sub-national risk premia—or a de facto transfer of risk from the latter to the former—on the day a sovereign bailout is announced. Using daily financial market data for Spain and its autonomous regions from January 2010 to June 2013, we find support for our risk transfer hypothesis. We estimate that the Spanish sovereign’s spread may have increased by around 70 basis points as a result of the central government’s support for fiscally distressed comunidades autónomas.


The Role of Local Authorities in the Field of Local Social Services

The Role of Local Authorities in the Field of Local Social Services

Author: Council of Europe

Publisher: Council of Europe

Published: 2000-01-01

Total Pages: 200

ISBN-13: 9789287145284

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This publication deals with the following issues; effectiveness and efficiency in delivering services, quality of services without increasing the costs, avoiding overlap, fostering horizontal and vertical co-operation between public authorities and achieving synergies with the private sector.


Global Waves of Debt

Global Waves of Debt

Author: M. Ayhan Kose

Publisher: World Bank Publications

Published: 2021-03-03

Total Pages: 403

ISBN-13: 1464815453

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The global economy has experienced four waves of rapid debt accumulation over the past 50 years. The first three debt waves ended with financial crises in many emerging market and developing economies. During the current wave, which started in 2010, the increase in debt in these economies has already been larger, faster, and broader-based than in the previous three waves. Current low interest rates mitigate some of the risks associated with high debt. However, emerging market and developing economies are also confronted by weak growth prospects, mounting vulnerabilities, and elevated global risks. A menu of policy options is available to reduce the likelihood that the current debt wave will end in crisis and, if crises do take place, will alleviate their impact.