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Governance and Risk in Emerging and Global Markets

  • Sima Motamen-Samadian

Part of the Centre for the Study of Emerging Markets Series book series (CSEM)

Table of contents

  1. Front Matter
    Pages i-xiii
  2. Sima Motamen-Samadian
    Pages 1-5
  3. Michel Henry Bouchet, Bertrand Groslambert
    Pages 69-88
  4. Kadom J. A. Shubber, Talal A. Kadhim
    Pages 121-132
  5. Back Matter
    Pages 149-151

About this book

Introduction

The book features eight studies related to governance and risk. It provides a critical evaluation of Basel II, and questions the significance of corruption in country risk analysis and investors' decision making. It offers a reliable model of early warning credit signals that helps managers to detect default risks, and provides a risk-based analysis of alternative production systems in Pakistan. It analyzes the effects of market liberalization on volatility spill-over across the globe, and examines past and future prospects for the Iraqi stock exchange. Finally, it proposes securitization as a means to finance costs of reconstruction in Iraq.

Keywords

Basel II decision making deregulation evaluation finance liberalization management production production systems regulation risk analysis Risk Management stock market sustainability volatility

Editors and affiliations

  • Sima Motamen-Samadian
    • 1
    • 2
  1. 1.Centre for the Study of Emerging MarketsUnited Kingdom
  2. 2.Westminster Business SchoolUniversity of WestminsterUnited Kingdom

Bibliographic information