23.08.2010 - Role of Central Bank reserves and sovereign wealth funds in managing risks
The global financial crisis that erupted in August 2007 has shed new light on the role of official investors and the assets they manage. In many countries, governments and government-owned entities were called upon to address crises that emerged due to the mismanagement of risk in the private sector. Yet official investors and public institutions need to manage risks of their own – risks that in many cases are unique to them. Sovereign Risk Management focuses on how official investors should respond to the new challenges they face in managing diverse forms of risk in the aftermath of the crisis. The book includes the insights of a carefully selected roster of experts and practitioners on the management of market, political and regulatory risk...........................................Full Press Release: Source
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