摘要
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。
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.
出处
《南亚研究》
CSSCI
2012年第3期31-45,共15页
South Asian Studies
关键词
印度
投资
政治风险
应对措施
India
Investment
Political Risk
Response Measures