Analysis of Methods Measuring Country Risk on Global Bond and Stock Markets
Dve metódy merania rizika krajiny. Štátna ratingová metóda, ktorá meria kreditné riziko emitenta (štátu). Trhová metóda - spread dlhopisov, ktorá reaguje pružnejšie na situáciu na trhu. Podobne môže kvantifikovať riziko krajiny na akciovom trhu a tým pádom trhová metóda varuje o situácii na vznika...
Salvato in:
| Autore principale: | |
|---|---|
| Altri autori: | |
| Natura: | Capitolo di libro |
| Lingua: | inglese |
| Soggetti: | |
| Tags: |
Nessun Tag, puoi essere il primo ad aggiungerne!!
|
Documenti analoghi: Analysis of Methods Measuring Country Risk on Global Bond and Stock Markets
- Country risk of small economies in Eurozone on the bonds and stock markets
- Comparison of two Methods of Measuring Country Risk
- <The> Analysis of Attributes of Bond Issuing Process on Primary Market
- <The> Impact of Stocks and Bonds on Pension Fund Performance
- Country Risk at Investing in Capital Markets - The Case of Italy
- Country risk on global stock market