Foreign direct investment in high-risk environments: an historical perspective

Foreign direct investment in high-risk environments: an historical perspective
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高风险环境下的外国直接投资:历史视角

DOI:
10.1080/00076791.2013.771343
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发表时间:
2013
期刊:
影响因子:
1.1
通讯作者:
Casson M
Casson M
中科院分区:
人文科学4区
文献类型:
--
作者:
Casson M

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自2008年银行业危机以来,人们认为全球经济的风险比以往任何时候都高。不能管理风险的公司已经撤出了他们之前投资的国家。这些问题并不新鲜。几个世纪以来,公司一直在高风险的外国环境中投资,其中许多都取得了成功。本文对国外投资者的风险管理策略进行了综述。利用档案证据和二手资料来源,它区分了投资者面临的不同类型的风险以及可以管理风险的不同策略。它调查使用哪些策略来管理哪些类型的风险。
Since the banking crisis of 2008 the global economy is perceived as riskier than before. Firms that cannot manage risks have withdrawn from countries in which they previously invested. These problems are not new. For centuries firms have invested in risky foreign environments, and many of them have succeeded. This paper reviews the risk management strategies of foreign investors. Using archival evidence and secondary sources it distinguishes the different types of risks that investors face and the different strategies by which risks can be managed. It investigates which strategies are used to manage which types of risk.
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