Country risk analysis
the types of investment become critical factors determining which economic and
socio-political indicators are included in a specific country risk analysis?
2. Are
windows of opportunity for investment in any given market a valid reason for
MNCs to secure market access in those markets?
3. What is
the relation between expected returns and country-risk measures?
4. What is
the impact of country risk on international bank lending?
5. Which
economic indicators identify debt servicing difficulties?
6. How does
globalization affect investment strategies of the G8 countries?
7. How do I identify the strengths and weaknesses of the new
market, as well as the potential threats?
Categories:
