Synopsis
Drawing on the expertise of business professionals and academic analysts, this volume explores country trends in the areas of public policy, government debt, taxation changes, political stability, corruption, and foreign investor risk trends. The handbook enhances its data and analysis through graphs, charts and boxed summaries of key points. It helps business professionals better understand the often volatile investment climates in Asia, and prepare them for the challenges ahead.
Book Description
This is one of the first commercially available comparative studies of investment risk among the countries of Asia. Drawing on the expertise of business professionals and academic analysts, the volume explores country trends in the areas of public policy, government debt, taxation changes, political stability, corruption, and foreign investor risk trends. The handbook conveys its data and analysis through concise prose, graphs, charts and boxed summaries of key points. It will help business professionals navigate the often turbulent investments climates in Asia, and better prepare them for the challenges ahead.
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