Summary: The emphasis of the conference will be on high-quality research focusing on issues relevant to managers, investors, and policy makers in emerging markets. Relevant topics include but are not limited to: - Quantification of risk and return in emerging markets - The effect of corporate governance and other institutional structures - Management of exchange rate exposure - Country diversification versus industry diversification in emerging markets - The gains and effects of FDI in emerging markets - The impact of currency crises - Portfolio strategies and implementation costs in emerging markets - Sovereign debt risk and pricing - Domestic vs. foreign listing choice

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