Since the early 1990s, emerging
market in Russia has been the biggest and the fastest-growing market in the
world. If the cost of
dealing with risks exceeds the higher returns, then the business case for
investing in the emerging economy fails.
The key to any good investment is recognizing risks of return
capital and managing them by choosing the right framework.
The risk analysis is based on several
studies that analyze the risk environment in Russian emerging market. The analysis in this section will be
based on the Opacity index,
which is compiled by the Kurtzman group. This index breaks risk environment
into five major factors:
Corruption (C), efficacy of legal systems (L), deleterious economic
policy (E), inadequate accounting and governance practices (A), and detrimental
regulatory structures (N) ─ (CLEAN).
Inquiring
difficulties are associated to manage high risks of investment to emerging
market in Russia and design framework for investors.
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