Richard Marney – författare
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4 produkter
4 produkter
Corporate Debt Restructuring in Emerging Markets
A Practical Post-Pandemic Guide
Inbunden, Engelska, 2021
713 kr
Skickas inom 10-15 vardagar
Corporate debt restructurings in the emerging markets have always presented special challenges.
Corporate Debt Restructuring in Emerging Markets
A Practical Post-Pandemic Guide
Häftad, Engelska, 2022
550 kr
Skickas inom 10-15 vardagar
Corporate debt restructurings in the emerging markets have always presented special challenges.
Emerging Markets Debt Restructuring
Effectively Navigating Local Institutional Frameworks
Inbunden, Engelska, 2024
1 094 kr
Skickas inom 10-15 vardagar
The authors identify, contextualize, and evaluate the major challenges confronting restructuring professionals in EMs, offering “ten observations” on the major differences for the practitioner in the restructuring environment of EMs versus that of advanced economies.
Emerging Markets Investor’s Guide to Country Risk
Systematic Risks and the Threats to Investment Performance
Inbunden, Engelska, 2026
1 844 kr
Kommande
Systematic risks often pose greater threats to investment performance than idiosyncratic factors, particularly in emerging markets where macroeconomic volatility, political instability, and institutional weakness can reshape outcomes. Yet many risk assessments remain anchored in static snapshots of economic indicators, market metrics, political developments, and event risk, often offering limited guidance when structural change is underway. This book addresses that gap by first providing a detailed analysis of EMDEs’ current macroeconomic fundamentals and how ongoing structural shifts such as geopolitical realignment, climate pressures, and technological disruption change them, and second through introducing the Investor’s Rutter, a practical framework for interpreting how economic, political, institutional, and financial forces interact and evolve over time. Rather than emphasizing prediction, the Investor’s Rutter offers a disciplined approach to interpreting change and uncertainty.Drawing on primary case studies and counterfactuals, the authors show how this framework can help investors make more informed judgments about the pricing of risk, exposure, resilience, and investment strategy across the full investment life cycle. It helps distinguish temporary volatility from deeper structural shifts, identify emerging inflection points, and assess when prevailing assumptions may no longer hold. By integrating perspectives often treated separately in conventional country risk analysis, the book offers a distinctive framework for investors navigating a period in which traditional models face growing limitations.