Restructuring of indebtedness on international financial markets: methodological aspects

Economic Annals-XXI: Volume 120, Issue 5-6, Pages: 21-23

Citation information: Masyna, O. P. (2012). Restructuring of indebtedness on international financial markets: methodological aspects. Economic Annals-XXI, 5-6, 21-23. https://ea21journal.world/index.php/ea-v120-06/


O. P. Masyna

Restructuring of indebtedness on international financial markets: methodological aspects

Abstract. The article reviews the main approaches to the restructuring of domestic borrowers debt on financial instruments in international financial markets. Advantages and disadvantages of such three models as parametric, obligatory and the model of a counter property have been analyzed. Factors used for choosing of each specific model by each interested party have been specified.

Keywords: Indebtedness; International Financial Markets; Eurobonds; Syndicated Loan; Restructuring; Model