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Titlebook: Governance and Risk in Emerging and Global Markets; Sima Motamen-Samadian (Director, Principal Lecture Book 2005 Palgrave Macmillan, a div

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發(fā)表于 2025-3-21 17:43:26 | 只看該作者 |倒序?yàn)g覽 |閱讀模式
書(shū)目名稱(chēng)Governance and Risk in Emerging and Global Markets
編輯Sima Motamen-Samadian (Director, Principal Lecture
視頻videohttp://file.papertrans.cn/388/387512/387512.mp4
叢書(shū)名稱(chēng)Centre for the Study of Emerging Markets Series
圖書(shū)封面Titlebook: Governance and Risk in Emerging and Global Markets;  Sima Motamen-Samadian (Director, Principal Lecture Book 2005 Palgrave Macmillan, a div
描述The book features eight studies related to governance and risk. It provides a critical evaluation of Basel II, and questions the significance of corruption in country risk analysis and investors‘ decision making. It offers a reliable model of early warning credit signals that helps managers to detect default risks, and provides a risk-based analysis of alternative production systems in Pakistan. It analyzes the effects of market liberalization on volatility spill-over across the globe, and examines past and future prospects for the Iraqi stock exchange. Finally, it proposes securitization as a means to finance costs of reconstruction in Iraq.
出版日期Book 2005
關(guān)鍵詞Basel II; decision making; deregulation; evaluation; finance; liberalization; management; production; produc
版次1
doihttps://doi.org/10.1057/9780230599352
isbn_ebook978-0-230-59935-2Series ISSN 2947-8006 Series E-ISSN 2947-8014
issn_series 2947-8006
copyrightPalgrave Macmillan, a division of Macmillan Publishers Limited 2005
The information of publication is updating

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沙發(fā)
發(fā)表于 2025-3-22 00:18:03 | 只看該作者
W. T. Chen,A. K. Trivedi,J. A. Welshy available to a corporate financial risk manager. The manager may be focused on his company and his immediate industry, and may not have the detailed information required about static pools or the detailed knowledge about current or historic defaults in the wider market.
板凳
發(fā)表于 2025-3-22 03:47:41 | 只看該作者
Detailed planning and control with MES,nto the relationship between market liberalization and stockmarket volatility in emerging countries (see for example Bekaert and Harvey, 1997; Kim and Singal, 2000; and Miles, 2002). To date, we recognize, however, that this issue is still under debate.
地板
發(fā)表于 2025-3-22 05:06:42 | 只看該作者
Developing an Understanding of Credit-Risk Processes in Selected UK Sectors,y available to a corporate financial risk manager. The manager may be focused on his company and his immediate industry, and may not have the detailed information required about static pools or the detailed knowledge about current or historic defaults in the wider market.
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發(fā)表于 2025-3-22 12:07:20 | 只看該作者
Market Deregulations, Volatility and Spillover Effects: Experiences from Emerging Stockmarkets,nto the relationship between market liberalization and stockmarket volatility in emerging countries (see for example Bekaert and Harvey, 1997; Kim and Singal, 2000; and Miles, 2002). To date, we recognize, however, that this issue is still under debate.
6#
發(fā)表于 2025-3-22 13:51:12 | 只看該作者
Manufacturing Babies and Public Consentented by a variety of small and medium-sized financial institutions, especially in the emerging markets. The chapter is divided into three main sections: the private and public justification of the Basel II design; a theoretical model of regulatory design; and the major types of regulatory failure.
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發(fā)表于 2025-3-22 20:00:32 | 只看該作者
Basel II: Principles of Avoiding Regulatory Failure,ented by a variety of small and medium-sized financial institutions, especially in the emerging markets. The chapter is divided into three main sections: the private and public justification of the Basel II design; a theoretical model of regulatory design; and the major types of regulatory failure.
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發(fā)表于 2025-3-23 00:29:56 | 只看該作者
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發(fā)表于 2025-3-23 04:00:03 | 只看該作者
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發(fā)表于 2025-3-23 07:42:25 | 只看該作者
2947-8006 e of corruption in country risk analysis and investors‘ decision making. It offers a reliable model of early warning credit signals that helps managers to detect default risks, and provides a risk-based analysis of alternative production systems in Pakistan. It analyzes the effects of market liberal
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