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The Resource Emerging markets and sovereign risk, edited by Nigel Finch

Emerging markets and sovereign risk, edited by Nigel Finch

Label
Emerging markets and sovereign risk
Title
Emerging markets and sovereign risk
Statement of responsibility
edited by Nigel Finch
Creator
Editor
Subject
Language
eng
Summary
"Emerging markets are an increasingly important area of corporate strategy and fast becoming the driver of global growth. Today, emerging markets account for 40% of global GDP and are experiencing growth rates two or three times faster than developed economies. Not surprisingly, investment activity in emerging market jurisdictions has been frenetic with developed-world firms having invested more than $3 trillion, making it one of the biggest corporate investment cycles since the railway boom of the 19th century. Emerging Markets and Sovereign Risk provides case studies, commentary and analysis of investment and financial aspects of emerging market investment from international experts inside Standard & Poor's, Moody's, global investment funds, corporations and academia, and covers keys issues such as credit rating agencies and the rating process, risk assessment and pricing of sovereign debt, challenges related to foreign direct investment in emerging countries, capital flows in frontier, emerging and less-mature economies, structuring debt and equity investments in 'non-investment grade' countries, key value drivers in emerging market asset classes, sovereign wealth funds and emerging market investment, and considerations in the management of sovereign credit ratings"--
Assigning source
Provided by publisher
Cataloging source
DLC
http://library.link/vocab/creatorDate
1969-
http://library.link/vocab/creatorName
Finch, Nigel
Index
index present
Literary form
non fiction
Nature of contents
bibliography
http://library.link/vocab/subjectName
  • Investments
  • Country risk
  • Developing countries
Label
Emerging markets and sovereign risk, edited by Nigel Finch
Instantiates
Publication
Bibliography note
Includes bibliographical references and index
Carrier category
volume
Carrier category code
nc
Carrier MARC source
rdacarrier.
Content category
text
Content type code
txt
Content type MARC source
rdacontent.
Contents
  • Contagion in Emerging Markets
  • Serge Darolles, Jérémy Dudek, and Gaëlle Le Fol;
  • 4.
  • Aspects of Volatility and Correlations in European Emerging Economies
  • Anna Golab, David E. Allen, and Robert Powell;
  • 5.
  • The Political Risk of Offshore Financial Centres: The Cyprus Bail-Out
  • David Chaikin
  • Part II.
  • Rating Agencies and the Sovereign Rating Process:
  • Part I. Risk and Emerging Market Investment:
  • 6.
  • Travels in the Ratings Space: Developed and Developing Countries' Sovereign Ratings
  • Lúcio Vinhas de Souza;
  • 7.
  • The Sovereign Rating Regulatory Dilemma
  • Jeffrey Manns;
  • 8.
  • A Framework for Understanding the Acceptability of Rating Agency Methodologies
  • Nigel Finch;
  • 9.
  • 1.
  • Sovereign Wealth Funds and Investment Law
  • Mauro Megliani;
  • 10.
  • Common Characteristics of Rated Sovereigns Prior to Default
  • Marie Cavanaugh, John B. Chambers, and Maximillian McGraw
  • Part III. Management of Sovereign Risk and Ratings:
  • 11.
  • Big Projects in Small Economies: The Determinants of Sovereign Risk and its Control
  • Sean J. Hinton, Brian S. Fisher, and Anna M. Fisher;
  • 12.
  • Economic Growth vs. Equity Returns in Emerging Markets
  • Monetary Policy and International Reserves in Emerging Economies: Theory and Empirics
  • Prakash Kumar Shrestha and Willi Semmler;
  • 13.
  • Stock Market Impact of Sovereign Rating Changes: Alternative Benchmark Models
  • Emawtee Bissoondoyal-Bheenick and Robert Brooks,
  • 14.
  • Reserve Adequacy Measures for Emerging Market Economies
  • Willi Semmler and Lebogang Mateane;
  • 15.
  • The Price Impact of Sovereign Rating Announcements
  • R. McFall Lamm, Jr.;
  • Albert Metz and Merxe Tudela
  • 2.
  • Default Risk of Sovereign Debt in Central America
  • Astrid Ayala, Szabolcs Blazsek, and Raúl B. González de Paz;
  • 3.
Control code
FIEb17637235
Dimensions
23 cm.
Extent
xvi, 298 pages
Isbn
9781137450654
Media category
unmediated
Media MARC source
rdamedia.
Media type code
n
Label
Emerging markets and sovereign risk, edited by Nigel Finch
Publication
Bibliography note
Includes bibliographical references and index
Carrier category
volume
Carrier category code
nc
Carrier MARC source
rdacarrier.
Content category
text
Content type code
txt
Content type MARC source
rdacontent.
Contents
  • Contagion in Emerging Markets
  • Serge Darolles, Jérémy Dudek, and Gaëlle Le Fol;
  • 4.
  • Aspects of Volatility and Correlations in European Emerging Economies
  • Anna Golab, David E. Allen, and Robert Powell;
  • 5.
  • The Political Risk of Offshore Financial Centres: The Cyprus Bail-Out
  • David Chaikin
  • Part II.
  • Rating Agencies and the Sovereign Rating Process:
  • Part I. Risk and Emerging Market Investment:
  • 6.
  • Travels in the Ratings Space: Developed and Developing Countries' Sovereign Ratings
  • Lúcio Vinhas de Souza;
  • 7.
  • The Sovereign Rating Regulatory Dilemma
  • Jeffrey Manns;
  • 8.
  • A Framework for Understanding the Acceptability of Rating Agency Methodologies
  • Nigel Finch;
  • 9.
  • 1.
  • Sovereign Wealth Funds and Investment Law
  • Mauro Megliani;
  • 10.
  • Common Characteristics of Rated Sovereigns Prior to Default
  • Marie Cavanaugh, John B. Chambers, and Maximillian McGraw
  • Part III. Management of Sovereign Risk and Ratings:
  • 11.
  • Big Projects in Small Economies: The Determinants of Sovereign Risk and its Control
  • Sean J. Hinton, Brian S. Fisher, and Anna M. Fisher;
  • 12.
  • Economic Growth vs. Equity Returns in Emerging Markets
  • Monetary Policy and International Reserves in Emerging Economies: Theory and Empirics
  • Prakash Kumar Shrestha and Willi Semmler;
  • 13.
  • Stock Market Impact of Sovereign Rating Changes: Alternative Benchmark Models
  • Emawtee Bissoondoyal-Bheenick and Robert Brooks,
  • 14.
  • Reserve Adequacy Measures for Emerging Market Economies
  • Willi Semmler and Lebogang Mateane;
  • 15.
  • The Price Impact of Sovereign Rating Announcements
  • R. McFall Lamm, Jr.;
  • Albert Metz and Merxe Tudela
  • 2.
  • Default Risk of Sovereign Debt in Central America
  • Astrid Ayala, Szabolcs Blazsek, and Raúl B. González de Paz;
  • 3.
Control code
FIEb17637235
Dimensions
23 cm.
Extent
xvi, 298 pages
Isbn
9781137450654
Media category
unmediated
Media MARC source
rdamedia.
Media type code
n
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