Bibliographic Information

Sovereign risk analysis

Shelagh A. Heffernan

(Routledge library editions, . Banking & finance ; v. 17)

Routledge, 2012

Available at  / 10 libraries

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Note

Reprint. Originally published: London : Allen & Unwin, 1986

Includes bibliographical references (p. [171]-176) and index

Description and Table of Contents

Description

Directed both at students of international finance and practitioners in the field, the book stresses the importance of treating the analysis of sovereign risk in a more general framework than is typically the case, identifying the components of both the demand and supply of sovereign loans. The author also discusses the link between the unique aspects of sovereign lending, the interdependence of the international banking system and the potential instability in the world financial system.

Table of Contents

Introduction 1. A Review of the Current Situation 2. A Review of Current Approaches to Sovereign Risk Analysis 3. A Broader Framework for Assessing Sovereign Risk 4. Writing a Country Report 5. International Financial Stability: Problems and Solutions. References. Index.

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Details

  • NCID
    BB09433052
  • ISBN
    • 9780415538558
  • Country Code
    uk
  • Title Language Code
    eng
  • Text Language Code
    eng
  • Place of Publication
    Abingdon
  • Pages/Volumes
    xvii, 181 p.
  • Size
    25 cm
  • Parent Bibliography ID
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