Risk Management in Emerging Markets: Issues, Framework, and Modeling

Risk Management in Emerging Markets: Issues, Framework, and Modeling

Hardcover
NOTE: This title is Print on Demand
Shipping this title can take 1 to 6 weeks depending on the publisher.
Regular price$187.99
/
Shipping calculated at checkout.
Non-returnable discount pricing
Academic finance research has shown that emerging markets still suffer from a myriad of risks such as credit, operational, market, legal and exchange rate risks. The onset of the subprime crisis 2007, the global financial crisis 2008-2009, and the Eurozone public debt crisis since the end of 2009 has brought to the light a number of emerging markets facing tumbling currencies, rising inflation, slowing growth, heavy dependence on foreign capital, and high levels of vulnerability to external shocks due to increased market integration. This context calls for not only a reconsideration of recent risk assessment models and risk management practices, but also the improvement and innovation of these models and practices. Factors such as liquidity, tail dependence, comovement, contagion, and timescale interactions have thus to be part of an integrated risk assessment and management framework. 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.

Details

Publish date October 04, 2016
Publisher Emerald Group Publishing
Format Hardcover
Pages 752
ISBN 9781786354525
1786354527

New Releases View all

New Book Releases | November 11
New Book Releases | November 11
New Book Releases | November 4
New Book Releases | November 4
New Book Releases | October 28th
New Book Releases | October 28th