|  | Bouchet, Michel Henry / Clark, Ephraim / Groslambert, Bertrand Country Risk Assessment A Guide to Global Investment Strategy Wiley Finance Series
  1. Auflage - Mai 2003 112,- Euro 2003. 286 Seiten, Hardcover ISBN-10: 0-470-84500-7 ISBN-13: 978-0-470-84500-4 - John Wiley & Sons
Preis inkl. Mehrwertsteuer zzgl. Versandkosten.

Kurzbeschreibung Country risk is a broad concept that comprises an underlying combination of economics, finance, geopolitics, sociology and history. This book sets out to provide managers, analysts, and students with a solid understanding of the concepts and methodologies surrounding country risk assessment from an investment perspective.
Aus dem Inhalt Preface.
Acknowledgments.
Foreword by Campbell R. Harvey
1 Introduction.
2 An Overview of Country Risk .
3 The Economic and Financial Foundations of Country Risk Assessment .
4 Country Risk Assessment Methodologies: The Qualitative, Structural Approach to Country Risk.
5 Assessment Methodologies: Ratings.
6 Econometric and Mathematical Methods.
7 Risk Models.
8 International Portfolio Investment Analysis.
9 Financial Crises in Emerging Market Countries: An Historical Perspective.
10 Country Risk and Risk Mitigation Instruments.
11 Country Risk Assessment: A Matter of Information and Intelligence Gathering.
Glossary.
Index
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