바로가기메뉴

본문 바로가기 주메뉴 바로가기

logo

A Study on the Risk Management of Korean Firms in Chinese Market

The Journal of Distribution Science / The Journal of Distribution Science, (P)1738-3110; (E)2093-7717
2009, v.7 no.2, pp.5-28
https://doi.org/https://doi.org/10.15722/jds.7.2.200906.5
Kim, Pan-Jin
  • Downloaded
  • Viewed

Abstract

As a result of this study only a few Korean firms have a certain management methods designed to predict the possibility of risk occurrence and establishment of systematic countermeasure. Besides, the Korean firms do not have enough data on the risk of Chinese Market. The risk management department inside the firm does not function efficiently, and when it comes to investigation of risk, it heavily depends on that of local branches. Accordingly, in order to accurately recognize and manage, the firms need to not only specialize risk management department but also outsource by using a consulting firm.

keywords
정치적 위험, 환경 불확실성, 투자위험

Reference

1.

Bradly, D .G.(1977), Managing against Expropriation, Harvard Business Review, July-August.

2.

Chatterjee, A. K.(1982), Foreign Direct Investment and Political Risk: A weak Signal Perspective, New York, New York University, Ph.D Dissertation.

3.

Coplin, W. D., and O'Leary, M. K.(1994), The Handbook of Country and Political Risk Analysis, East Syracuse, New York, Political Risk Services, International Business, Communications.

4.

Duncan, H.M.(2000), Country Risk and Foreign Direct Investment, Business Economic; Washington, Jan.

5.

Geringer,J.M.(1988), Joint Venture Partner Selection; Strategic for Developed Countries, Westport, Conn: Quorum Books.

6.

Haendel, Dan.(1979), Foreign Investments and the management of Political Risk, Boulder, Colorado: West View Press, p. 136.

7.

Hawkins, R. G., Norman, M.and Michael Provissiero(1976), Government take over of U.S. foreign Affairs , Journal of International Business Studies, Spring, pp. 4-5.

8.

James, B.(1990), Reducing the Risks of Globalization, Long Range Planning VOL.23. NO.1, pp. 80-88.

9.

Kobrin, S. J.(1980), Foreign Enterprises and Forced Divestment in Less Developed Countries (LDCs) , International Organization, Winter.

10.

Kobrin, S. J.(1983), Selective Vulnerability and Corporate Management, in Moran T. H. ed., International Political Risk Assessment: The Status of the Art, Georgetown University Press, Washington DC.

11.

Kumar, M. S.(1984), Growth, Acquisition and Investment: An Analysis of the Growth of Industrial Firms and their Overseas, Cambridge University Press.

12.

Porter, M. E.(1980), Competitive Strategy, the Free Press.

13.

Stevens, F.Y.(1997), Quantitative Perspective on Political Risk Analysis for Direct Foreign Investment, Multinational Business Review; Detroit, Spring.

The Journal of Distribution Science