Managing Country Risk in an Age of Globalization
A Practical Guide to Overcoming Challenges in a Complex World
Michel Henry Bouchet author Charles A Fishkin author Amaury Goguel author
Format:Hardback
Publisher:Springer International Publishing AG
Published:16th Aug '18
Should be back in stock very soon
This book provides an up-to-date guide to managing Country Risk. It tackles its various and interlinked dimensions including sovereign risk, socio-political risk, and macroeconomic risk for foreign investors, creditors, and domestic residents. It shows how they are accentuated in the global economy together with new risks such as terrorism, systemic risk, environmental risk, and the rising trend of global volatility and contagion. The book also assesses the limited usefulness of traditional yardsticks of Country Risk, such as ratings and rankings, which at best reflect the market consensus without predictive value and at worst amplify risk aversion and generate crisis contamination. This book goes further than comparing a wide range of risk management methods in that it provides operational and forward-looking warning signs of Country Risk. The combination of the authors’ academic and market-based backgrounds makes the book a useful tool for scholars, analysts, and practitioners.
“This book succeeds better than any other I know in being a comprehensive and practical guide to the economics of country risk analysis. Financial institutions would do well to have a copy in the library. For beginning country risk analysts, it is a must-read.” (Sam Wilkin, Journal of Risk Management in Financial Institutions, Vol. 12 (2), 2019)
ISBN: 9783319897516
Dimensions: unknown
Weight: unknown
527 pages
1st ed. 2018