Nivorozhkin, E;
(2016)
How to manage geopolitical risk and understand its implications on your portfolio and regional stability.
(INVESTING IN GLOBAL EQUITIES, EUROPE 2016
, pp. pp. 31-33
).
Clear Path Analysis: London, UK.
|
Text
Nivorozhkin_PDFsam_Nivorozhkin_204-igee-2016-2.pdf Access restricted to UCL open access staff Download (212kB) |
| Type: | Report |
|---|---|
| Title: | How to manage geopolitical risk and understand its implications on your portfolio and regional stability |
| Publisher version: | https://www.clearpathanalysis.com/reports/investin... |
| Language: | English |
| Additional information: | This version is the version of record. For information on re-use, please refer to the publisher’s terms and conditions. |
| Keywords: | geopolitical risks, emerging markets, portfolio allocation |
| UCL classification: | UCL UCL > Provost and Vice Provost Offices > UCL SLASH UCL > Provost and Vice Provost Offices > UCL SLASH > SSEES |
| URI: | https://discovery.ucl.ac.uk/id/eprint/1496828 |
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