MITIGATING FINANCIAL RISKS AND ASPECTS TO BE ADDRESSED IN MAKING FOREIGN INVESTMENTS
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Аннотация:
The globalization of financial markets has led to increased cross-border investments, enabling investors to access new growth opportunities. However, foreign investments are riskier than domestic ones due to factors such as political instability, currency fluctuations, and differing regulatory environments. This thesis will explore these financial risks, propose methods for mitigating them, and highlight the critical factors investors must address when considering foreign investments.
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Библиографические ссылки:
Barclays, 2018. Currency Risk Management. Barclays Research. Available at: https://www.barclays.com [Accessed 7 November 2024].
International Monetary Fund (IMF), 2020. World Economic Outlook: Global Financial Stability Report. International Monetary Fund. Available at: https://www.imf.org/en/Publications/WEO [Accessed 7 November 2024].
Multilateral Investment Guarantee Agency (MIGA), 2012. Political Risk Insurance. World Bank Group. Available at: https://www.miga.org [Accessed 7 November 2024].
International Monetary Fund (IMF), 2009. The Financial Crisis and the Global Economy. International Monetary Fund. Available at: https://www.imf.org [Accessed 7 November 2024].