Country and Political Risk - Practical Insights for Global Finance
Released on: September 7, 2007, 10:04 pm
Press Release Author: Bharat Book Bureau
Industry: Financial
Press Release Summary: Provides a fully comprehensive overview of the factors affecting global investment, including practical insights and research on assessing country risk,
Press Release Body: Bharat Book Bureau, a leading market information distributor has tabled a report Country and Political Risk:Practical Insights for Global Finance http://www.bharatbook.com/detail.asp?id=7220 Provides a fully comprehensive overview of the factors affecting global investment, including practical insights and research on assessing country risk, in-depth analysis of country risk cases and advice on how to manage a country risk portfolio. Summary . By examining country and political risk from a banking and insurance perspective the book is a vital resource for portfolio and direct investors . As a foreign investor, you will be better armed with all the tools and techniques to effectively assess the risk of investing in a particular country . Leading practitioners, academics and economists discuss essential topics such as: o Best practice in country risk and Basel II o Theories of crises o Stress-testing o Measuring state stability and political risk o Country risk and the private sector o Country risk indicators and early warning systems o Currency inconvertibility o Pricing of political risk . You will benefit from the experience of authors from such world-leading organisations as: ABN Amro, Aon Political Risk, Duke University , Bank for International Settlements, Oxford Analytica, Fitch Ratings, the World Bank and many more . Provides insight and advice on the ratings available from various organisations that offer country-rating services . Addresses key issues surrounding some of the most volatile world markets and provides in-depth analysis through a range of revealing interviews and case studies of the crucial markets from around the globe . Offers practical advice to help you formulate effective internal strategies for country risk management, including an analysis of the available methodologies and systems for assessing country risk, such as econometric systems and qualitative approaches . Also covers: stress testing, measuring state stability and political risk, pricing a political risk portfolio, forecasting currency crises, emerging markets, capital market products, international lending, regulatory issues and Basel II, country risk rating and much more . An indispensable resource not only to financial institutions but to all businesses that operate on a global level
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