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Relationships among Country Risk, Investor Expectations and Financial Variables in Central Europe

by/edited by: Edward M. Jankovic
published by: Mellen Press
pp: 224
ISBN-10: 0-7734-1306-5
ISBN-13: 978-0-7734-1306-1
price: $109.95 / £ 69.95

This compilation is really a history of developing market finance and an examination of yield components in the focus countries of Central Europe. Current account and exchange rates are trade-related risk measures; Consumer Price Index is an inflation gauge; stock markets are leading economic indicators, measuring expectations; the lending interest rate prices demand and supply of domestic funds; and FDI inflow is the product of these variables.

 

 

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