Country Risk Analysis: A Handbook / Edition 1

Country Risk Analysis: A Handbook / Edition 1

by Ronald L. Solberg
ISBN-10:
0415078555
ISBN-13:
9780415078559
Pub. Date:
10/01/1992
Publisher:
Taylor & Francis
ISBN-10:
0415078555
ISBN-13:
9780415078559
Pub. Date:
10/01/1992
Publisher:
Taylor & Francis
Country Risk Analysis: A Handbook / Edition 1

Country Risk Analysis: A Handbook / Edition 1

by Ronald L. Solberg
$230.0 Current price is , Original price is $230.0. You
$230.00 
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Overview

Country-Risk Analysis is a comprehensive, practical guide to the management of international risk and cross-border lending. The last fifteen years of international commercial bank lending have witnessed a classical boom-and-bust cycle. Yet it is only recently that a formalized approach to country risk assessment has been implemented in the major international banks.

Ron Solberg's volume provides a state-of-the-art review of the country risk techniques that have evolved in the context of dramatic changes in developing countries' debt service capacity and in international lending itself. It deals comprehensively with sovereign credit decision making, portfolio management, lending behaviour and financial innovations.


Product Details

ISBN-13: 9780415078559
Publisher: Taylor & Francis
Publication date: 10/01/1992
Pages: 340
Product dimensions: 5.44(w) x 8.50(h) x (d)
Lexile: 1480L (what's this?)
Age Range: 18 Years

Table of Contents

Introduction Ronald L. Solberg 1. Country Risk Analysis Ronald L. Solberg 2. The Analytics of Country Reports and Checklists Paul Rawkins 3. Current Account Forecasting Milan Brahmbhatt 4. External Financing and Debt Analysis Gregory B. Fager 5. Empirical Models of Debt Rescheduling with Sovereign Immunity Robert B. Avery and Eric O'N. Fisher 6. Political Risk Analysis for International Banks and Multinational Enterprises Jeffrey D. Simon 7. Systematic Risk in International Bank Lending: Theory and Estimating Gary Dymski and Ronald L. Solberg 8. The Strategy of Sovereign Debt Renegotiation Eric Rasmusen 9. Loan Valuation and the Secondary Market for Developing Country Debt Vincent Dropsy and Ronald L. Solberg 10. Managing Non-Performing Sovereign Assets Charles Semones and Ronald L. Solberg 11. Foreign Direct Investment: The Upstream Petroleum Industry Mikkal E. Herberg 12. U.S. Regulatory Supervision of Commercial Banks with International Operations Edwin H. Clock 13. The Decision-Making Process: A Changing Role for Country Risk Analysis Lawrence J Brainard 14. Efficient Allocation of International Lending Brian K. Newton and Ronald L. Solberg
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