Two indicators of Moldova's public debt risk exceeded the program's thresholds
At the end of July, Moldova saw a deterioration in two key debt risk indicators: some of the parameters that the Ministry of Finance uses to monitor refinancing and the interest burden exceeded the limits set by the medium-term program. However, for the remaining indicators, the situation remained within the established limits; the full version of this report includes details showing just how close the national debt has come to critical thresholds.
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