Proceedings of a Conference held at the Stern School of Business, New York University on May 2324, 1996
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Köp båda 2 för 2516 krI The history of emerging markets: what have we learned?.- 1. Can debt crises be prevented?.- 2. Dealing with capital inflows: Mexico and Chile compared Andrs Velasco and Pablo Cabezas.- 3. International lending in the long run: motives and management.- Discussion: Philip Suttle.- Michael P. Dooley.- II. Returns on emerging market equities.- 4. Rethinking emerging market equities.- 5. The behavior of emerging market returns.- 6. Cross-listing, segmentation and foreign ownership restrictions.- Discussion: William N. Goetzmann and Philippe Jorion.- Stijn Claessens.- Ren Garcia.- Vihang R. Errunza.- III. Integration of emerging markets and international equity markets.- 7. Determinants of emerging market correlations.- 8. A Markov switching model of market integration.- 9. External financing in emerging markets: an analysis of market responses.- 10. Political risk in emerging and developed markets.- IV. Lending on fixed terms in emerging markets: bank lending and sovereign debt.- 11. Cross-border emerging-market bank lending.- 12. Hedging the interest rate risk of Bradys: the case of Argentinian fixed and floating-rate bonds.- 13. Country and currency risk premia: evidence from the Mexican sovereign debt market 19931994.- 14. Emerging-market debt: practical portfolio considerations.- Discussion: Kenneth Rogoff.- Martin D. Evans.- Richard Cantor.- Lawrence Goodman.- V. Topics in corporate debt and emerging markets.- 15. Emerging-market corporate bonds a scoring system.- 16. Proposal for a new bankruptcy procedure in emerging markets.- Discussion: Gordon M. Bodnar.- William J. Chambers.- Lemma W. Senbet.- List of contributors.