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Assessing and Managing Risk in Global Banking

Roy C. Smith, Ingo Walter, and Gayle Delong

in Global Banking

Published in print:
2012
Published Online:
May 2012
ISBN:
9780195335934
eISBN:
9780199932146
Item type:
chapter
Publisher:
Oxford University Press
DOI:
10.1093/acprof:oso/9780195335934.003.0013
Subject:
Economics and Finance, Economic Systems

Future cash flows can be impaired by economic or political events. This chapter discusses the two components of country or cross-border risk, namely economic and political risk. Evaluating country ... More


Assessing and Managing Cross‐Border Risks

Roy C. Smith and Ingo Walter

in Global Banking

Published in print:
2003
Published Online:
November 2003
ISBN:
9780195134360
eISBN:
9780199833009
Item type:
chapter
Publisher:
Oxford University Press
DOI:
10.1093/0195134362.003.0012
Subject:
Economics and Finance, Financial Economics, International

Examines the subclass of risk‐management problems faced by bank lenders known as “country risk,” which arises from the possibility that events in a sovereign country may affect the ability of a ... More


From the Boom in Capital Inflows to Financial Traps

Roberto Frenkel

in Capital Market Liberalization and Development

Published in print:
2008
Published Online:
May 2008
ISBN:
9780199230587
eISBN:
9780191710896
Item type:
chapter
Publisher:
Oxford University Press
DOI:
10.1093/acprof:oso/9780199230587.003.0004
Subject:
Economics and Finance, Development, Growth, and Environmental

This chapter examines the performance of highly indebted countries from the point of view of their links with the international financial market. Although the more analytical parts of the chapter do ... More


Country Risk

Aswath Damodaran

in Investment Risk Management

Published in print:
2015
Published Online:
January 2015
ISBN:
9780199331963
eISBN:
9780190214098
Item type:
chapter
Publisher:
Oxford University Press
DOI:
10.1093/acprof:oso/9780199331963.003.0009
Subject:
Economics and Finance, Financial Economics

Do differences in risk exist across countries? If the answer is yes, judgment is needed in determining how best to reflect those risks in investment analysis. This chapter examines the drivers of ... More


Institutional Quality and FDI to the South

Julia Darby, Rodolphe Desbordes, and Ian Wooton

in Firms in the International Economy: Firm Heterogeneity Meets International Business

Published in print:
2013
Published Online:
May 2014
ISBN:
9780262019743
eISBN:
9780262314473
Item type:
chapter
Publisher:
The MIT Press
DOI:
10.7551/mitpress/9780262019743.003.0006
Subject:
Economics and Finance, International

This chapter analyses the relation between institutional quality and FDI. The authors show that firms from countries that have experienced poor domestic institutions are less likely to be deterred ... More


Very High Interest Rates and the Cousin Risks: Brazil During the Real Plan

Márcio G. P. Garcia and Tatiana Didier

in Latin American Macroeconomic Reforms: The Second Stage

Published in print:
2003
Published Online:
February 2013
ISBN:
9780226302676
eISBN:
9780226302683
Item type:
chapter
Publisher:
University of Chicago Press
DOI:
10.7208/chicago/9780226302683.003.0004
Subject:
Economics and Finance, Development, Growth, and Environmental

This chapter examines the determinants of interest rates in Brazil. Based on the interest parity conditions, it considers the behavior of so-called cousin risks: the currency risk and the country ... More


The Money Laundry: Regulating Criminal Finance in the Global Economy

J. C. Sharman

Published in print:
2011
Published Online:
August 2016
ISBN:
9780801450181
eISBN:
9780801463198
Item type:
book
Publisher:
Cornell University Press
DOI:
10.7591/cornell/9780801450181.001.0001
Subject:
Political Science, International Relations and Politics

A generation ago, not a single country had laws to counter money laundering; now, more countries have standardized anti-money laundering (AML) policies than have armed forces. This book investigates ... More


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