Key topics include:
- A review of country risk definitions and an overview of the most recent tools in country risk management
In-depth analysis of statistical, econometric and non-parametric classification techniques
Several real-world applications of the methodologies described throughout the text- Future research directions for country risk assessment problems
This work is a useful toolkit for economists, financial managers, bank managers, operations researchers, management scientists, and risk analysts. Moreover, the book can also be used as a supplementary text for graduate courses in finance and financial risk management.
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