Examples of 'country risk' in a sentence
Meaning of "country risk"
Country risk is a term used in finance and economics to refer to the risks associated with investing or doing business in a particular country. It encompasses various factors such as political stability, economic performance, legal framework, and potential for financial or economic crises. Assessing country risk helps investors and businesses make informed decisions regarding international ventures
How to use "country risk" in a sentence
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country risk
We have country risk concentrations as outlined below.
Sovereign risk and country risk evaluation.
Country risk and climate assessments changes.
Order form for country risk services.
Country risk and country finance reports.
Improving and expanding country risk analyses.
Country risk mitigation technique used.
Overseas business activities and country risk.
Final set of country risk adjusted comparables.
Human rights are also screened in country risk assessments.
Banking and country risk can be problems too.
The company is affected by country risk.
The applicable country risk classification.
Country risk and interest rates.
Financial risk and country risk.
See also
Country risk here can be overstated.
Exchange rate and country risk.
Country risk analysis and management.
It also reduces the country risk.
Country risk may be especially high in emerging markets.
Reduction of currency risk and country risk by sound diversification.
Country risk ratings assigned to individual countries are reviewed annually.
Reduce currency risk and country risk by sound diversification.
Country risk breaks down into two major categories.
The dollar and the country risk are still adjusting.
Country risk mitigation techniques.
Whose credit risk is significantly higher than country risk.
Country risk premium bonds.
There are a number of organisations that attempt to measure country risk.
Country risk premium equity.
This payment increases depending on the home country risk.
He specializes in country risk assessment and international financial issues.
Economic and political risks will determine the country risk.
The country risk classifications are meant to reflect country risks.
Euromoney and institutional investor country risk ratings anc rankings.
Both country risk and sector risk are rated as low.
We are also publishing our quarterly barometer of worldwide trends in country risk.
Mexico country risk decreases.
One approach is by using working capital adjustments as a proxy for country risk.
Country risk assessment including several economic and political indicators.
A risk premium including a country risk according to the geographical areas involved.
Country risk classification.
This would reduce the country risk to at least region average levels.
Country risk is back.
Discount rate must include all aspects of country risk including confiscation.
Country risk indices.
Contained yield spreads testify to limited residual country risk priced in by markets.
Unfavourable country risk assessment by investors is a further handicap to attracting private investment.
The objective is to consolidate the ratings to derive a general country risk score.
Exclusion of selected country risk elements and country risk mitigation techniques.
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