PQ 57
83 Deputy Willie Penrose asked the Minister for Finance the schedule of borrowing and repayment activities of the National Treasury Management Agency regarding the management of the national debt over the course of 2008 and 2009; the amount of cash on hand held by NTMA or the Exchequer for the purpose of financing current and capital expenditures; when this cash will be exhausted, assuming no further borrowing or funding activities by the NTMA and static rates of expenditure; and if he will make a statement on the matter. [6317/09]
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18 February 2009
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18 February 2009
Summary
83 Deputy Willie Penrose asked the Minister for Finance the schedule of borrowing and repayment activities of the National Treasury Management Agency regarding the management of the national debt over the course of 2008 and 2009; the amount of cash on hand held by NTMA or the Exchequer for the purpose of financing current and capital expenditures; when this cash will be exhausted, assuming no further borrowing or funding activities by the NTMA and static rates of expenditure; and if he will make a statement on the matter. [6317/09]
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Fiscal Policy.
Fiscal Policy.
xml · EN · 18 February 2009
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- Official source: https://www.oireachtas.ie/en/debates/question/2009-02-18/57/
- Open data entity: https://data.oireachtas.ie/ie/oireachtas/question/2009-02-18/pq_57