Country risk in global financial management
| Gmd : Text
| Availability :
00000008915 | HG4538 .E694 1997 | (General Book) | Available - Ada |
00000009251 | HG4538 .E694 1997 | (General Book) | Available - Ada |
The investment world is fraught with risk, but the growth in the popularity of overseas portfolio investment has dramatically increased the types of risk encountered by investors. The goal of this monograph is to introduce and explain the primary risk of overseas investment - country risk.
CONTENTS :
Foreward
Preface
Executive summary
Introduction
Country Risk
Determining Country Risk in Practice
Applications of Country Risk Analysis
Implications for Portfolio Management
Conclusions
Appendix : Country Risk Ratings Used in the monograph
References
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Call Number |
HG4538 .E694 1997
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Publisher Place | Charlottesville |
Collation |
x, 83p.: ill.; 23cm.
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Language |
English
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ISBN/ISSN |
0943205425
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Classification |
HG4538
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No other version available