{
"item_title" : "Country Risk Assessment",
"item_author" : [" Robyn Xu "],
"item_description" : "Country risk assessment provides a systematic way to identify, measure, and manage these risks. It combines traditional approaches such as sovereign credit ratings and macroeconomic analysis with modern tools including scenario analysis, stress testing, and data-driven risk models. Importantly, it integrates qualitative and quantitative methods to capture both measurable indicators and nuanced contextual factors, such as governance quality, social stability, and geopolitical tensions.This book is structured to take readers from foundational concepts to advanced applications: Chapters 1-3 introduce the fundamentals of country risk, including political, economic, and fiscal dimensions.Chapters 4-8 explore specific risk areas such as external vulnerability, financial systems, ESG considerations, social and demographic factors, and operational challenges.Chapter 9 delves into sovereign credit ratings, quantitative models, and scenario-based analyses for predictive risk assessment.Chapter 10 focuses on practical applications, including decision-making frameworks, risk mitigation strategies, and real-time monitoring through dashboards.",
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Overview
Country risk assessment provides a systematic way to identify, measure, and manage these risks. It combines traditional approaches such as sovereign credit ratings and macroeconomic analysis with modern tools including scenario analysis, stress testing, and data-driven risk models. Importantly, it integrates qualitative and quantitative methods to capture both measurable indicators and nuanced contextual factors, such as governance quality, social stability, and geopolitical tensions.
This book is structured to take readers from foundational concepts to advanced applications:
- Chapters 1-3 introduce the fundamentals of country risk, including political, economic, and fiscal dimensions.
- Chapters 4-8 explore specific risk areas such as external vulnerability, financial systems, ESG considerations, social and demographic factors, and operational challenges.
- Chapter 9 delves into sovereign credit ratings, quantitative models, and scenario-based analyses for predictive risk assessment.
- Chapter 10 focuses on practical applications, including decision-making frameworks, risk mitigation strategies, and real-time monitoring through dashboards.
This item is Non-Returnable
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Details
- ISBN-13: 9798278310860
- ISBN-10: 9798278310860
- Publisher: Independently Published
- Publish Date: December 2025
- Dimensions: 9 x 6 x 0.53 inches
- Shipping Weight: 0.76 pounds
- Page Count: 254
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