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Corporate Risk Management in Emerging Markets

Corporate Risk Management in Emerging Markets PDF Author: Marvin Arras
Publisher: Anchor Academic Publishing
ISBN: 396067578X
Category : Business & Economics
Languages : en
Pages : 42

Book Description
Managing risks is essential for corporations and has a tremendous impact on their performance. However, doing it sufficiently can be challenging, especially in Emerging Markets (EMs). Due to its underdeveloped environment, corporations often face enormous difficulties while managing risk in these countries. The purpose of this study is to outline the issues and differences of corporate risk management in emerging economies compared to Developed Markets (DMs). After a short introduction, the second chapter describes risk management in DMs and gives an overview of common corporate risks. The third chapter characterizes EMs and details its risk management. In that connection, the focus lies on (1) the risk management process, (2) the measurement of risk and (3) the tools and techniques to mitigate risks in EMs. Conclusively, the study summarizes the main factors for corporations that are fundamental for managing risks in EMs effectively.

Corporate Risk Management in Emerging Markets

Corporate Risk Management in Emerging Markets PDF Author: Marvin Arras
Publisher: Anchor Academic Publishing
ISBN: 396067578X
Category : Business & Economics
Languages : en
Pages : 42

Book Description
Managing risks is essential for corporations and has a tremendous impact on their performance. However, doing it sufficiently can be challenging, especially in Emerging Markets (EMs). Due to its underdeveloped environment, corporations often face enormous difficulties while managing risk in these countries. The purpose of this study is to outline the issues and differences of corporate risk management in emerging economies compared to Developed Markets (DMs). After a short introduction, the second chapter describes risk management in DMs and gives an overview of common corporate risks. The third chapter characterizes EMs and details its risk management. In that connection, the focus lies on (1) the risk management process, (2) the measurement of risk and (3) the tools and techniques to mitigate risks in EMs. Conclusively, the study summarizes the main factors for corporations that are fundamental for managing risks in EMs effectively.

Risk Management in Emerging Markets

Risk Management in Emerging Markets PDF Author:
Publisher: Emerald Group Publishing
ISBN: 1786354519
Category : Business & Economics
Languages : en
Pages : 752

Book Description
This book addresses three main dimensions of risk management in emerging markets: 1) the effectiveness of risk management practices; 2) current issues and challenges in risk assessment and modelling in emerging market countries; 3) the responses of emerging markets to the recent financial crises and the design of risk management models.

Risk Management in Emerging Markets

Risk Management in Emerging Markets PDF Author: Carl Olsson
Publisher: Financial Times/Prentice Hall
ISBN: 9780273656180
Category : Decision making
Languages : en
Pages : 0

Book Description
Understanding risk in emerging markets is a critical success factor for management today. Risk management is about controlled decision making rather than risk avoidance. Balancing risk and reward is increasingly important but reward does not come without risk. Risk Management in Emerging Markets is primarily concerned with the risks facing long-term investors who put their money in real assets rather than financial ones such as investing in stock markets, but everyone interested in emerging markets will find value in reading this book. It will help open managers' eyes to risks and provide solutions. It also seeks to answer the question 'What makes emerging markets different and how does this impact on risk?' rather than how to make a quick return, as many other books do. The book addresses in detail the question of 'What is risk?' and then covers the basics of identification, measurement and management of risk before considering how things work or don't work in practice in emerging markets. It also considers recent trends and extrapolates into the future possible developments within the field. A selection of international case studies and examples from both the corporate and banking sectors highlight key risks in the UK, US and Europe as well as emerging markets. These help illustrate the fact that today's business world is more integrated, more volatile and more hostile than it has ever been. Risk Management in Emerging Markets is an essential guide for managers in both non-commercial and commercial organizations, as well as students of risk and risk management. Those wanting to survive, or even win, would be wise to read this book before their competitors do.

Risk Management in Emerging Markets

Risk Management in Emerging Markets PDF Author: S. Motamen-Samadian
Publisher: Springer
ISBN: 0230596363
Category : Business & Economics
Languages : en
Pages : 167

Book Description
This book provides a thorough analysis of risk management in emerging markets. A collection of eight studies, each chapter examines the range of risks that investors face in an emerging market, and the methods that should be used to manage these risks. It includes the latest empirical studies on the role of insider trading and the extent of information efficiency of these markets, and a comprehensive assessment of the suitability of the Value at Risk models to emerging markets.

Risk Management in Emerging Markets

Risk Management in Emerging Markets PDF Author: Sima Motamen-Samadian
Publisher:
ISBN: 9781349542864
Category : Asset-liability management
Languages : en
Pages : 167

Book Description
This book provides a thorough analysis of risk management in emerging markets. Each chapter assesses the extent to which investors might be affected by specific risks of emerging markets, and they can manage them. The studies cover a range of different countries, including India, Pakistan, Poland and Morocco, as well as sixteen other emerging and developed markets that might be included in portfolio of global assets. The authors highlight the risk associated with each market and identify the most appropriate model specifications that should be used in managing risks in those markets. The empirical studies provide interesting results that have important implication for pricing of securities and the strategies that should be adopted by investors. The book will be extremely useful for all those who are working on risk management in emerging economies, in particular fund managers, researchers in universities and financial institutions, as well as regulatory and supervisory authorities in emerging markets.

Financial Risk Management

Financial Risk Management PDF Author: José A. Soler Ramos
Publisher: IDB
ISBN: 9781886938717
Category : Business & Economics
Languages : en
Pages : 422

Book Description
"Drawing on practical methods used by successful risk managers in emerging and developed markets throughout the world, the book provides specific guidance on establishing a modern risk management framework and developing efficient approaches to increase the profitability of risk management activities in emerging market settings."--BOOK JACKET.

Risk Assessment and Financial Regulation in Emerging Markets' Banking

Risk Assessment and Financial Regulation in Emerging Markets' Banking PDF Author: Alexander M. Karminsky
Publisher: Springer
ISBN: 9783030697501
Category : Business & Economics
Languages : en
Pages : 396

Book Description
This book describes various approaches in modelling financial risks and compiling ratings. Focusing on emerging markets, it illustrates how risk assessment is performed and analyses the use of machine learning methods for financial risk assessment and measurement. It not only offers readers insights into the differences between emerging and developed markets, but also helps them understand the development of risk management approaches for banks. Highlighting current problems connected with the evaluation and modelling of financial risks in the banking sector of emerging markets, the book presents the methodologies applied to credit and market financial risks and integrated and payment risks, and discusses the outcomes. In addition it explores the systemic risks and innovations in banking and risk management by analyzing the features of risk measurement in emerging countries. Lastly, it demonstrates the aggregation of approaches to financial risk for emerging financial markets, comparing the experiences of various countries, including Russia, Belarus, China and Brazil.

Financial Risk Management

Financial Risk Management PDF Author:
Publisher:
ISBN:
Category :
Languages : en
Pages : 392

Book Description


Risk and Return in Asian Emerging Markets

Risk and Return in Asian Emerging Markets PDF Author: N. Cakici
Publisher: Springer
ISBN: 1137359072
Category : Business & Economics
Languages : en
Pages : 347

Book Description
Risk and Return in Asian Emerging Markets offers readers a firm insight into the risk and return characteristics of leading Asian emerging market participants by comparing and contrasting behavioral model variables with predictive forecasting methods.

Risk Assessment and Financial Regulation in Emerging Markets' Banking

Risk Assessment and Financial Regulation in Emerging Markets' Banking PDF Author: Alexander M. Karminsky
Publisher: Springer Nature
ISBN: 3030697487
Category : Business & Economics
Languages : en
Pages : 395

Book Description
This book describes various approaches in modelling financial risks and compiling ratings. Focusing on emerging markets, it illustrates how risk assessment is performed and analyses the use of machine learning methods for financial risk assessment and measurement. It not only offers readers insights into the differences between emerging and developed markets, but also helps them understand the development of risk management approaches for banks. Highlighting current problems connected with the evaluation and modelling of financial risks in the banking sector of emerging markets, the book presents the methodologies applied to credit and market financial risks and integrated and payment risks, and discusses the outcomes. In addition it explores the systemic risks and innovations in banking and risk management by analyzing the features of risk measurement in emerging countries. Lastly, it demonstrates the aggregation of approaches to financial risk for emerging financial markets, comparing the experiences of various countries, including Russia, Belarus, China and Brazil.