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Long-term financing and risk allocation

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long-term-finance-and-risk-allocation-fgv-ceri-2017.pdf (1023.Kb)
Date
2016-09
Author
Gonçalves, Edson Daniel Lopes
Jardim, Fernanda Baldim
Dutra, Joísa Campanher
Monteiro, Mariana Reis Paiva
Metadata
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Abstract
This position paper reflects the perspective presented at the Workshop "Pensando o Futuro do Setor Energético Brasileiro" and focuses on issues related to creating conditions for long-term financing and its risks, including: - Discussion of the prerequisites to develop a robust financial market to support the long-term development of the infrastructure sector in Brazil in a post-BNDES era, using the power and gas sectors as pilot cases; - Analysis of additional financial products and facilities to support long-term financing in the power and gas sectors, such as guarantees and insurance products, provided by BNDES, insurance companies, and multilateral institutions; and - (Re)assessment of the risk management attitude and mindset in existing project finance practices, identifying current allocation patterns and future trends to attract new capital.
URI
http://hdl.handle.net/10438/19062
Collections
  • FGV CERI - Position Papers [12]
Knowledge Areas
Economia
Subject
Administração financeira - Brasil
Investimentos de capital - Brasil
Administração de risco
Alocação de ativos
Keyword
Long-term financing
Risk allocation
Infrastructure

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