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Risk Management in Global Finance

Managerial Finance

ISSN: 0307-4358

Article publication date: 1 April 1995

717

Abstract

This special issue is devoted to a discussion of some major risks facing multinational companies (MNCs) in the operation of their global business. Multinational business is carried out in many ways including international trade and investment activities. Such enterprise may be confronted by a number of risks. Among these, the most important are foreign exchange risk, credit risk, interest rate risk, and political risk.

Citation

Baker, J.C. (1995), "Risk Management in Global Finance", Managerial Finance, Vol. 21 No. 4, pp. 1-4. https://doi.org/10.1108/eb018508

Publisher

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MCB UP Ltd

Copyright © 1995, MCB UP Limited

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