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Area of Science:

  • Economics
  • Econometrics

Background:

  • Government debt management and risk premiums are critical for fiscal policy.
  • Assessing the impact of funding strategy changes requires robust empirical methods.

Purpose of the Study:

  • To empirically evaluate the effect of the Dutch State Treasury Agency's funding policy changes on market conditions.
  • To compare the suitability of the synthetic control method versus difference-in-differences for this specific case study.

Main Methods:

  • Application of the synthetic control method to a Dutch State Treasury Agency funding policy case study.
  • Comparison with the difference-in-differences method, highlighting the importance of control unit selection.
  • Conducting time and unit placebo tests to assess the robustness of the findings.

Main Results:

  • Increased uncertainty in funding policy, via a target range for issuances, did not elevate the risk premium on Dutch government debt.
  • The synthetic control method and constrained regression provided more reliable estimates than difference-in-differences.
  • Difference-in-differences results were found to be non-robust under placebo tests, unlike synthetic control.

Conclusions:

  • The synthetic control method is a more appropriate tool than difference-in-differences for analyzing this specific Dutch funding policy case.
  • Funding policy uncertainty, as implemented, did not negatively impact the risk premium of Dutch government debt.