Dangerous Markets: Managing in Financial Crises (Wiley Finance, #436)

by Dominic Barton, Roberto Newell, and Gregory Wilson

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Book cover for Dangerous Markets

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A corporate guide to crisis management in volatile financial markets

Current financial crises in Argentina, Japan, and Turkey are being played out on the front pages of newspapers, and these are just the most recent financial crises that have rolled across the globe in the last decade and whose far–reaching impact hurts business around the world. Dangerous Markets: Managing in Financial Crises recognizes that no global corporation or financial institution can afford to ignore the potential of a financial storm and will help top management and financial professionals navigate through this often disastrous maze.

While many books discuss financial crises and their ramifications, none has presented an action plan for managing these storms until now. Dangerous Markets: Managing in Financial Crises presents a method that allows executives and financial professionals to recognize the warning signs of a financial crisis and act appropriately before the situation spirals out of control. Based on years of research and practice in cleaning up the mess, McKinsey consultants Barton, Newell, and Wilson reveal the warning signs of potential financial catastrophes and provide unique principles that can be followed to shape and manage a strategy for survival.

  • ISBN10 0471226866
  • ISBN13 9780471226864
  • Publish Date 16 September 2002 (first published 1 January 2002)
  • Publish Status Unknown
  • Out of Print 28 June 2021
  • Publish Country US
  • Imprint John Wiley & Sons Inc
  • Format Hardcover
  • Pages 320
  • Language English