南亚研究
南亞研究
남아연구
South Asian Studies
2012年
3期
31~45
,共null页
印度 投资 政治风险 应对措施
印度 投資 政治風險 應對措施
인도 투자 정치풍험 응대조시
India; Investment ; Political Risk ; Response Measures
印度独立后,总体上对外资持欢迎态度,1991年实行自由化改革以来尤其如此。印度的政治制度、法律制度和经济制度有助于避免大规模政治风险的发生,但国有化和征收风险、汇兑风险、政府违约风险、战争和内乱风险在一定范围内仍然存在。外国投资者对印度投资,有必要采取适当的法律应对措施,以防止和消除政治风险,进而确保投资利润和目标的实现。
印度獨立後,總體上對外資持歡迎態度,1991年實行自由化改革以來尤其如此。印度的政治製度、法律製度和經濟製度有助于避免大規模政治風險的髮生,但國有化和徵收風險、彙兌風險、政府違約風險、戰爭和內亂風險在一定範圍內仍然存在。外國投資者對印度投資,有必要採取適噹的法律應對措施,以防止和消除政治風險,進而確保投資利潤和目標的實現。
인도독립후,총체상대외자지환영태도,1991년실행자유화개혁이래우기여차。인도적정치제도、법률제도화경제제도유조우피면대규모정치풍험적발생,단국유화화정수풍험、회태풍험、정부위약풍험、전쟁화내란풍험재일정범위내잉연존재。외국투자자대인도투자,유필요채취괄당적법률응대조시,이방지화소제정치풍험,진이학보투자리윤화목표적실현。
Generally speaking, following its independence, India has main-tained a policy friendly to foreign investment, especially since its free market re- forms of 1991. While India' s political, legal and economic institutions are favora- ble in terms of preventing large scale political risk, the risk of nationalization or acquisition, exchange rate risk, risk of government breach of contract, or risk re- lated to war or turmoil still exist. In response, foreign investors in India must take certain legal measures to prevent or eliminate political risk and ensure returns on investment.