The methodology for stochastic public debt projections used here is presented in the European Commission's Fiscal Sustainability Report 2012, Section 3.3.3, and in Berti K. (2013), "Stochastic public debt projections using the historical variance-covariance matrix approach for EU countries", European Economy, Economic Paper 480.
Tässä käytettyä julkisen talouden velan stokastista arviointimenetelmää on kuvattu julkisen talouden vakautta koskevassa Euroopan komission raportissa Fiscal Sustainability Report 2012, kohta 3.3.3., sekä seuraavassa julkaisussa: Berti, K., Stochastic public debt projections using the historical variance-covariance matrix approach for EU countries, 2013, European Economy , Economic Paper No. 480.EurLex-2 EurLex-2