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Forward-thinking Investors Are Constantly Looking For The Next Bric-what Foreign Market Is On The Brink Of Expansive Growth? Will These Investments Payoff, Or Are The Potential Risks Too Great? Investing In These Emerging Markets Requires A Careful Analysis Of Potential Risks And Benefits Which Vary Greatly From Country To Country And Even From Day To Day. In Cracking The Emerging Markets Enigma, Emerging Markets Expert Andrew Karolyi Outlines A Practical Strategy For Evaluating The Opportunities And-more Importantly-the Risks Of Investing In Emerging Markets. Karolyi's Proposed System Evaluates Multiple Dimensions Of The Potential Risks Faced By Prospective Investors. These Categories Of Risk Reflect The Uneven Quality Or Fragility Of The Various Institutions Designed To Assure Integrity In Capital Markets-political Stability, Corporate Opacity, Limits Placed On Foreign Investors, And More. By Distilling These Analyses Into A Numerical Scoring System, Karolyi Has Devised A Way To Assess With Ease Emerging Markets By Different Dimensions Of Risk And Across All Dimensions Together. This Novel Assessment Framework Already Has Been Tested In The Market To Great Success. Researchers, Students, Firms, And Both Seasoned And Novice Investors Are Poised To Gain A Clear Understanding Of How To Evaluate Potential Investments In Emerging Markets To Maximize Profits.
This book investigates the core question of how investors can systematically evaluate the complex risks and potential rewards inherent in emerging market economies. G. Andrew Karolyi, a recognized expert in international finance, leverages his academic and professional background to construct a rigorous analytical framework. He argues that traditional investment strategies often fail to account for the institutional fragility and political volatility unique to developing nations. By synthesizing these variables into a quantifiable scoring system, the author provides a structured methodology for navigating global capital markets.
What You Will Find
Financial professionals and academic researchers frequently cite this work as a foundational text for understanding the mechanics of international risk assessment. Experts highlight the author's ability to translate complex institutional data into a usable, quantitative tool for modern portfolio management.
Page Count:
272
Publication Date:
2015-01-01
Publisher:
Oxford University Press, Incorporated
ISBN-10:
0199336636
ISBN-13:
9780199336630
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