International Political Risk Management: Perspectives, Approaches and Emerging Agendas
梳理了政治风险管理的现有和新兴视角与方法,特别关注外国直接投资情境,将现有研究归纳为制度、资源与能力、资源依赖三种理论视角,并指出不同国家背景下各方法的有效性可能不同。
Abstract This paper reviews the extant and emerging perspectives on, and approaches to, political risk management, particularly in the context of foreign direct investment. The authors identify and classify the various theoretical lenses in the domain of political risk management, and suggest a future research agenda. The paper contributes by conceptually categorizing and mapping the extant research onto three approaches to the management of political risk. Through conducting a narrative literature review, the authors suggest three theoretical perspectives on political risk management: institutions; resources and capabilities; and resource dependence. They argue that the institutions approach to political risk management is reactive, responding to external stimuli, whereas the resources‐ and capabilities‐based approach is proactive, preparing and acting in anticipation. The resource dependence domain offers an intermediate approach – the active management of political risk. The authors also suggest that the effectiveness of the domains’ approaches may vary across different national contexts.