Since the banking crisis of 2008 the global economy is perceived as riskier than before. Firms that cannot manage risks have withdrawn from countries in which they previously invested. These problems are not new. For centuries firms have invested in risky foreign environments, and many of them have succeeded. This paper reviews the risk management strategies of foreign investors. Using archival evidence and secondary sources it distinguishes the different types of risks that investors face and the different strategies by which risks can be managed. It investigates which strategies are used to manage which types of risk
The aim of this thesis is to review existing literature on international risk management and then co...
LEOThis paper investigates the nature of the relationship between direct investment and country risk...
This paper investigates the nature of the relationship between direct investment and country risk in...
Since the banking crisis of 2008 the global economy is perceived as riskier than before. Firms that ...
We examine how experience with two types of non-market risks (e.g., natural disasters and armed conf...
Objective: The aim of this paper is to present necessary characteristics of solutions related to ris...
This article explores risk management in global industrial investment by identifying linkages and ga...
This thesis explores risk management practices in global manufacturing investment. It reflects the g...
International business activities and foreign direct investment in particular involve an element of ...
The current financial crisis has caused multi-billion dollar losses and broken a long period of stro...
Foreign direct investment has always been an important concern for international organizations and f...
Identifies some gaps in corporate risk management research and presents a study of risk management p...
This dissertation investigates the relationship between host country institution-related (policy) ri...
The purpose of this article is to assess how the changing operations of international banks in emerg...
The understanding of country risk for investors is extremely important. Considering the current inte...
The aim of this thesis is to review existing literature on international risk management and then co...
LEOThis paper investigates the nature of the relationship between direct investment and country risk...
This paper investigates the nature of the relationship between direct investment and country risk in...
Since the banking crisis of 2008 the global economy is perceived as riskier than before. Firms that ...
We examine how experience with two types of non-market risks (e.g., natural disasters and armed conf...
Objective: The aim of this paper is to present necessary characteristics of solutions related to ris...
This article explores risk management in global industrial investment by identifying linkages and ga...
This thesis explores risk management practices in global manufacturing investment. It reflects the g...
International business activities and foreign direct investment in particular involve an element of ...
The current financial crisis has caused multi-billion dollar losses and broken a long period of stro...
Foreign direct investment has always been an important concern for international organizations and f...
Identifies some gaps in corporate risk management research and presents a study of risk management p...
This dissertation investigates the relationship between host country institution-related (policy) ri...
The purpose of this article is to assess how the changing operations of international banks in emerg...
The understanding of country risk for investors is extremely important. Considering the current inte...
The aim of this thesis is to review existing literature on international risk management and then co...
LEOThis paper investigates the nature of the relationship between direct investment and country risk...
This paper investigates the nature of the relationship between direct investment and country risk in...