|
Country
Finance
In-depth analysis of changing
financial conditions and instruments in 47 countries
Country Finance gives you incisive intelligence on the changing
financial operating conditions, tax laws, investment opportunities,
banking and other financial services in 47 countries. Topics covered
in each report include cash management and short-term investment
options; bank and non-bank credit; equity and debt financing; and
markets for stocks, bonds, currencies and derivatives.
Country Finance is the definitive source of up-to-date intelligence
on financial operating conditions worldwide. A Country Finance subscription
provides you with:
A consistent report format- build reliable intercountry
comparisons of financial conditions and investment opportunities.
Case studies of foreign and domestic companies- benchmark
your strategy and operations against those of your peers.
Clear graphics, charts and tables- get an immediate visual
presentation of a countrys financial consultants and governments,
international organisations, academic institutions and import/export
businesses.
Which variables does Country Finance cover?
Financial institutions- banks and other financial institutions.
Financial policy- monetary overview; currency overview.
Financial regulations- foreign-exchange regulations; taxation
and investment incentives.
Financial markets- securities markets; currency and derivatives
markets; short-term investment instruments.
Financial techniques- short-term financing; medium- and
long-term financing; cash management; trade financing and insurance.
What countries does Country Finance cover?
Americas:
Argentina, Brazil, Canada, Chile, Costa Rica, Colombia, El Salvador,
Guatemala, Honduras, Mexico, Nicaragua, Panama, United States, Venezuela
Africa and the Middle East
Nigeria, Saudi Arabia, South Africa
Asia and Australasia
Australia, China, Hong Kong, India, Indonesia, Japan, Malaysia,
New Zealand, Philippines, Singapore, South Korea, Taiwan, Thailand
Eastern Europe
Czech Republic, Hungary, Poland, Russia
Western Europe
Belgium, France, Germany, Greece, Italy, Netherlands, Norway, Portugal,
Spain, Sweden, Switzerland, Turkey,UK
How can you benefit from Country Finance?
Against a constantly changing market environment, Country Finance
presents reliable answers to even the toughest questions. Country
Finance is the leading source of intelligence for maximising the
return on your overseas investments. Financial conditions never
remain steady or constant for very long. New governments, new regulations,
new competitors- these and many other influences combine to present
financial executives with a never-ending stream of challenges. Country
Finance provides in-depth, country-specific and unbiased analysis
on the financial conditions of 47 countries and will help you to:
Assess and compare
the financial environment in 47 countries.
Protect and manage
your investments overseas.
Keep up-to-date with
changing financial regulations that could affect your business.
Monitor the activities
of your competitors.
Discover innovative
financing techniques for the countries where you do business.
Benchmark your strategies
against those of your peers.
Optimise your use of
banks and other financial institutions.
Pursue the most successful
financing techniques in a particular country.
Take advantage of every
tax and investment incentive available to you.
Avoid making tax mistakes
that could lead to heavy fines and penalties.
Harness the latest
cash-management technologies in each country to make the most of
your funds.
Protect your investments
against currency devaluations and market swings.
Who uses Country Finance?
Country Finance serves the needs of both companies looking to put
capital to use, and of firms willing to supply funds to investors.
It is designed specifically for CFOs and finance directors of banks
and other financial institutions; corporate finance and treasury
executives; international financial analysts; business development
managers; investment analysts; financial consultants and governments;
international organisations; academic institutions; and import/export
businesses.
How we produce Country Finance
What are the sources of data used in Country Finance?
EIU global network of analysts compiles data on interest rates,
exchange-rate movements and stock market index changes, transforms
these data series into easy-to-read chart formats. The managing
editor then reviews each report to ensure consistency in coverage
of topics and style of presentation throughout Country Finance.
Who writes Country Finance?
Country Finance is revised annually by our correspondents in the
field in the 47 countries covered by the service. These analysts,
many of whom have worked on successive editions of the report over
the years, gather locally available information and write their
initial drafts. To accomplish their task they follow local press
accounts, seek regulatory and statistical information from government
ministries, and conduct interviews with the managers of domestic
and foreign businesses.
Five-year archive access.
Full-text searching.
PDF or html formats.
Networked access- authorised
users can be based in different cities or countries.
A Update
frequency: Annual
Kindly
click here for Free product sample
How
to subscribe:
For more information or to apply for
a free trial, contact the exclusive representatives for the SAARC
region:
 |
Bharat Book Bureau |
|
207,Hermes Atrium, |
|
Sector 11, C.B.D Belapur, |
|
Navi Mumbai - 400614. India |
|
TeleFax:+91-(022)-27578668 / 27579438 |
|
Website:www.bharatbook.com |
|
E-mail:eiu@bharatbook.com |
|