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Country risk in global financial management

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00000008915HG4538 .E694 1997 (General Book)Available - Ada
00000009251HG4538 .E694 1997 (General Book)Available - Ada

Publisher :The Research Foundation of the Inst. of Chartered , 1997

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


Series Title
-
Call Number
HG4538 .E694 1997
Publisher Place Charlottesville
Collation
x, 83p.: ill.; 23cm.
Language
English
ISBN/ISSN
0943205425
Classification
HG4538
Media Type
-
Carrier Type
-
Edition
-
Subject(s)
Specific Info
-
Statement
Content Type
-

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