The complete guide to risk management in emerging markets. -- Identifying, measuring, and managing risks in unpredictable markets and emerging global economies. -- A complete toolkit of risk management techniques, tailored to the most challenging business environments. -- Includes detailed international case studies from both the corporate and banking sectors. In an era of unprecedented uncertainty, effective risk management is more important than ever -- especially for enterprises seeking to profit in new industries or ...
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The complete guide to risk management in emerging markets. -- Identifying, measuring, and managing risks in unpredictable markets and emerging global economies. -- A complete toolkit of risk management techniques, tailored to the most challenging business environments. -- Includes detailed international case studies from both the corporate and banking sectors. In an era of unprecedented uncertainty, effective risk management is more important than ever -- especially for enterprises seeking to profit in new industries or emerging global markets. In this book, leading risk management expert Carl Olsson offers a complete risk management toolkit for every business decision-maker, especially focusing on the unique risks of doing business in new and emerging markets. Olsson begins by reviewing the fundamentals of identifying, measuring, and managing risk; then shows how these fundamentals actually work in practice, when faced with the complexities of today's emerging markets and developing economies. Along the way, he also presents a series of international case studies from a wide range of leading enterprises and financial institutions, highlighting key risks in both traditional and emerging markets.
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