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Country Risk Assessment »

Book cover image of Country Risk Assessment by Bouchet

Authors: Bouchet, Ephraim Clark, Bertrand Groslambert
ISBN-13: 9780470845004, ISBN-10: 0470845007
Format: Hardcover
Publisher: Wiley, John & Sons, Incorporated
Date Published: July 2003
Edition: (Non-applicable)

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Author Biography: Bouchet

MICHEL HENRY BOUCHET is Professor of Finance at CERAM-Sophia Antipolis (France), Scientific Director of the MSc in International Finance, and Head of the Chair 'Global Finance'. He is also Managing Director of DEFI/Developing Finance, Paris. After an international banking career at BNP, the World Bank and the Washington-based Institute of International Finance, Dr. Bouchet was founder and CEO of Owen Stanley Financial, a specialized advisory firm dealing with debt restructuring strategy for country governments. Dr. Bouchet graduated in Economics from the University of Paris and IEP-Paris. He also holds an M.A. and a Ph.D from USC (Columbia-USA).

EPHRAÏM CLARK is Professor of Finance at Middlesex University, London, and Visiting Professor at ESC Lille, France, with extensive teaching experience in Europe and the USA. He is Founding Editor of the European Journal of Finance, Co-editor of Treasury Affairs, and Associate Editor of the International Journal of Finance. Professor Clark is the author of eight books and over 50 articles in academic and professional journals in the field of international risk management, and he also has extensive experience in private business and as a consultant.

BERTRAND GROSLAMBERT after working in Africa as Financial Controller with the French oil group, Total, Dr. Groslambert joined Paris-based FP Consult (now part of Fortis Group), an emerging market investment management company with a US$250 million portfolio. He was equity fund manager specializing in Latin American stock markets. Dr. Groslambert teaches International Finance Strategy and International Risk Management at CERAM. A graduate himself from CERAM, he holds a Doctorate inEconomics from Aix-Marseille University, and his areas of expertise include emerging markets and international economics.

Book Synopsis

One of the few books on the subject, Country Risk Assessment combines the theoretical and practical tools for managing international country risk exposure.

- Offers a comprehensive discussion of the specific mechanisms that apply to country risk assessment.
- Discusses various techniques associated with global investment strategy.
- Presents and analyses the various sources of country risk.
- Provides an in depth coverage of information sources and country risk service providers.
- Gives techniques for forecasting country financial crises.
- Includes practical examples and case studies.
- Provides a comprehensive review of all existing methods including the techniques on the cutting-edge Market Based Approaches such as KMV, CreditMetrics, CountryMetrics and CreditRisk+.

Table of Contents

Preface
Acknowledgments
Foreword
1Introduction1
2An Overview of Country Risk9
3The Economic and Financial Foundations of Country Risk Assessment31
4Country Risk Assessment Methodologies: The Qualitative, Structural Approach to Country Risk49
5Assessment Methodologies: Ratings79
6Econometric and Mathematical Methods115
7Risk Models133
8International Portfolio Investment Analysis149
9Financial Crises in Emerging Market Countries: An Historical Perspective171
10Country Risk and Risk Mitigation Instruments197
11Country Risk Assessment: A Matter of Information and Intelligence Gathering221
Glossary247
Index265

Subjects