The report considers the use of risk management techniques and instruments by firms in developing countries. Increased financial market volatility in recent years has led to the development of a number of new financial instruments for managing the risks associated with specific transactions. In most developing countries, however, firms face substantial obstacles to using these instruments. Despite that, developing country managers are becoming more...
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详细
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1993/06/30
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出版
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IFD17
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1
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1
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2010/07/01
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Disclosed
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How firms in developing countries manage risk
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economic growth rate