Books on the topic 'Risk foreign capital presence'
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Christiansen, Vidar. A normative analysis of capital income taxes in the presence of aggregate risk. University of Warwick Department of Economics, 1990.
Find full textRazin, Assaf. Optimal incentives to domestic investment in the presence of capital flight. National Bureau of Economic Research, 1989.
Find full textDumas, Bernard. The World price of foreign exchange risk. National Bureau of Economic Research, 1993.
Find full textBalakrishnan, Ravi. U.S. dollar risk premiums and capital flows. International Monetary Fund, Western Hemisphere Dept., 2006.
Find full textMin, Hong G. Dynamic capital mobility, capital market risk, and exchange rate misalignment: Evidence from seven Asian countries. World Bank, 1998.
Find full textRankin, Neil. Exchange rate risk and imperfect capital mobility in an optimizingmacromodel. Centre for Economic Policy Research, 1991.
Find full textUlrich, Hiemenz, Nunnenkamp Peter, and Agarwal Jamuna P, eds. The International competitiveness of developing countries for risk capital. J.C.B. Mohr, 1991.
Find full textAizenman, Joshua. Inward versus outward growth orientation in the presence of country risk. National Bureau of Economic Research, 1989.
Find full textAllayannis, George. Capital structure and financial risk: Evidence from foreign debt use in East Asia. World Bank, Development Research Group, Finance, 2001.
Find full textChan, Kitty K. Risk instability and the pattern of foreign direct investment in the Middle East and North Africa region. International Monetary Fund, Middle East and Central Asia Dept., 2004.
Find full textBin, Li, ed. Quantitative analysis, derivatives modeling, and trading strategies: In the presence of counterparty credit risk for fixed-income market. World Scientific Pub., 2007.
Find full textMarston, Richard C. Interest differentials under fixed and flexible exchange rates: The effects of capital controls and exchange risk. National Bureau of Economic Research, 1992.
Find full textFerson, Wayne E. Economic, financial, and fundamental global risk in and out of the EMU. National Bureau of Economic Research, 1999.
Find full textSinn, Hans-Werner. Risk taking, limited liability and the competition of bank regulators. National Bureau of Economic Research, 2001.
Find full textRazin, Assaf. Evaluation of exchange-rate, capital market, and dollarization regimes in the presence of sudden stops. National Bureau of Economic Research, 2005.
Find full textRazin, Assaf. Evaluation of exchange-rate, capital market, and dollarization regimes in the presence of sudden stops. National Bureau of Economic Research, 2005.
Find full textFuhrer, Jeffrey C. Risky habits: On risk sharing, habit formation, and the interpretation of international consumption correlations. National Bureau of Economic Research, 1998.
Find full textCloes, Roger. Das Länderrisiko bei internationalen Kapitalbewegungen: Analysekonzepte und Bewältigungsstrategien. Institut für Wirtschaftspolitik an der Universität zu Köln, 1988.
Find full textGeert, Bekaert. Capital flows and the behavior of emerging market equity returns. National Bureau of Economic Research, 1998.
Find full textIslam, Roumeen. Should capital flows be regulated?: A look at the issues and policies. World Bank, Office of the Senior Vice President and Chief Economist, Development Economics, 2000.
Find full textStarodubceva, Elena, and Ol'ga Markova. Banking operations. INFRA-M Academic Publishing LLC., 2023. http://dx.doi.org/10.12737/1914538.
Full textPastuszek, Rainer. Leading und Lagging kurzfristig variierbarer gruppeninterner Geldflüsse im Währungsrisikomanagement einer internationalen Unternehmung. Centaurus-Verlagsgesellschaft, 1986.
Find full textEvertz, Derik-W. Die Länderrisikoanalyse der Banken: Darstellung, Analyse und Beurteilung mit entscheidungs- und planungsorientiertem Schwerpunkt. Duncker & Humblot, 1992.
Find full textZwirner, Thomas. Devisenkursrisiko, Unternehmen und Kapitalmarkt: Ein arbitragetheoretischer Beitrag zur Theorie des Hedging. Deutscher Universitäts Verlag, 1989.
Find full textJ. A. H. de Beaufort Wijnholds. Reserve adequacy in emerging market economies. International Monetary Fund, Office of Executive Directors, 2001.
Find full textU.S.-China Economic and Security Review Commission. China's presence in the global capital markets: Hearing before the U.S.-China Economic and Security Review Commission, One Hundred Eighth Congress, second session, April 16, 2004. U.S. G.P.O., 2004.
Find full textAeberli, Rolf Werner. Risikopolitische Analyse der Ausserbilanzgeschäfte, unter besonderer Berücksichtigung der Eigenmittelunterlegung. P. Haupt, 1989.
Find full textGupta, Dipak Das. Interest rates in open economies: Real interest rate parity, exchange rates and country risk in industrial and developing countries. World Bank, East Asia and Pacific Region, Country Department III, Country Operations Division, 1994.
Find full textMukherjee, Mohua. Fa ctors affecting private financial flows to Eastern Europe, 1989-91. Cofinancing and Financial Advisory Services Dept., World Bank, 1992.
Find full textArraes, Virgílio. A potência em crise: Os Estados Unidos no início do século XXI. Verdana, 2009.
Find full textJankovic, Edward M. Relationships among country risk, investor expectations, and financial variables in Central Europe: A study of transitioning economies. Edwin Mellen Press, 2010.
Find full textÖtker, İnci. A modernized approach to managing the risks in cross-border capital movements. International Monetary Fund, Monetary and Exchange Affairs Department, 1999.
Find full textPindyck, Robert S. Irreversibility, uncertainty, and investment. Country Economics Dept., World Bank, 1989.
Find full textPindyck, Robert S. Irreversibility, uncertainty, and investment. National Bureau of Economic Research, 1990.
Find full textErrico, Luca. Offshore banking: An analysis of micro- and macro-prudential issues. International Monetary Fund, Monetary and Exchange Affairs Department, 1999.
Find full textSang-in, Chŏn, ред. Hanʼguk hyŏndaesa: Chinsil kwa haesŏk. Nanam Chʻulpʻan, 2005.
Find full textForeign Capital and Economic Transformation: Risk and Benefits of Free Capital Flows (Kieler Studies, 295). University of Michigan Press, 1999.
Find full textTulin, Volodymyr, and Ravi Balakrishnan. U. S. Dollar Risk Premiums and Capital Flows. International Monetary Fund, 2006.
Find full textTulin, Volodymyr, and Ravi Balakrishnan. U. S. Dollar Risk Premiums and Capital Flows. International Monetary Fund, 2006.
Find full textTulin, Volodymyr, and Ravi Balakrishnan. U. S. Dollar Risk Premiums and Capital Flows. International Monetary Fund, 2006.
Find full textO'Brien, Thomas J. Applied International Finance: Managing Foreign Exchange Risk and International Capital Budgeting. Business Expert Press, 2013.
Find full textApplied International Finance: Managing Foreign Exchange Risk and International Capital Budgeting. Business Expert Press, 2013.
Find full textRiehl, Heinz. Managing Risk in the Foreign Exchange, Money and Derivative Markets. McGraw-Hill, 1998.
Find full textRiehl, Heinz. Managing Risk in the Foreign Exchange, Money and Derivative Markets. McGraw-Hill, 1998.
Find full textUncertain tomorrows: Livelihoods, capital and risk in labour migration from Bangladesh. University Press Limited, 2016.
Find full textMark, Feldman. Multinational Enterprises and Investment Treaties. Oxford University Press, 2017. http://dx.doi.org/10.1093/law-iic/9780198809722.016.0005.
Full textElo, Kinga Z. Effect of Capital Controls on Foreign Direct Investment Decisions under Country Risk with Intangible Assets. International Monetary Fund, 2007.
Find full textElo, Kinga Z. Effect of Capital Controls on Foreign Direct Investment Decisions under Country Risk with Intangible Assets. International Monetary Fund, 2007.
Find full textElo, Kinga Z. Effect of Capital Controls on Foreign Direct Investment Decisions under Country Risk with Intangible Assets. International Monetary Fund, 2007.
Find full textCapital Controls: Country Experiences With Their Use and Liberalization (Occasional Paper (International Monetary Fund), No. 190.). International Monetary Fund, 2000.
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