內容簡介

This collection reports the responses of emerging markets to the recent financial crises, the effectiveness of risk management practices, and the design of new risk management models. The 21 essays investigate the determinants of the volatility of spread in the foreign exchange market, propose a new approach to political risk assessment in emerging markets, and consider the possible unintended consequences of Basel III on emerging and developing economies. Case studies assess the stock market impact of credit rating changes by Chinese rating agencies, the implications of regional integration for African stock markets, and the high rate of foreign currency borrowing in Hungary. Distributed in North America by Turpin Distribution. Annotation ©2016 Ringgold, Inc., Portland, OR (protoview.com)
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