Description | Includes: medium-term foreign and international bank credits identified in 1973; Organisation for Economic Co-operation and Development (OECD) Committee on Financial Markets - draft speaking notes on IFC criticisms of medium-term Eurocurrency credit market; OECD Committee on Financial Markets - European Composite Units or 'Eurco'; medium-term Euro-currency business in London; medium term Eurocredits - lists of borrowers, amount term in years and lead banks; Bank note on November 1973 (12th) meeting of the OECD Committee on Financial Markets (CFM); Eurocurrency borrowing - fixed versus floating rates; consultation with private bankers on Eurocurrency lending to developing countries, Paris 7 Dec 1973 - several papers; Government and central bank borrowing in the Euro-bond and Euro-credit markets 1969 - November 1973; note of a meeting with a representative of the Association of International Bond Traders (AIBT); Oman: borrowing on the international capital market; Issue costs and othger factors affecting the prospects for the transferance of new issues from the eurobond market in New York in the light of the removal of Interest Equalisation Tax (IET); 'The international capital markets - 1973', various other notes and papers; proposed Euro-credit borrowing by Sudan; calculations of conversion premiums on convertaible bonds; Bank comment on an IMF paper by J Hewson and P Sakakibara 'Effect of US (United States) controls on US Commercial Bank Borrowing in the Euro-dollar Market and the Euro-dollar interest rate'; 'the inclusion of stand-by credits within eurocredit statistics'; 'Europe: measures adopted to relax controls on inward direct investment - an assessment'; 'the Euromarkets in 1974'; Bank comment on paper by J Hewson and P Sakakibara 'The Eurodollar Deposit Multiplier'; 'BIS statistics on the euro-currency market - a note describing the complex sets of statistics produced by the Bank for International Settlements (BIS) concerning the euro-currency market. |