Managing Financial Risks in Fragile and Emerging Economies: Credit, Liquidity, and Exchange-Rate Volatility: Lessons from Haiti

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Management number 233315497 Release Date 2026/06/27 List Price US$90.00 Model Number 233315497
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How can financial institutions manage risk in economies marked by instability, structural constraints, and recurring shocks? This book explores the realities of financial risk management in fragile and emerging economies, with a special focus on Haiti. Drawing on real-world challenges and national economic data, it examines credit risk, liquidity stress, and exchange-rate volatility, while discussing practical approaches to risk identification, mitigation, and financial resilience. Written for finance professionals, risk practitioners, policymakers, researchers, and students, the book offers valuable insights into banking risk and economic stability in vulnerable environments. Read more


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