文本描述
there will be increasng volatility n the global financial system and more financial crises over the next 5years
many executives are weestling with the toughest environment they have ever encountered
a global recovery though still fragile is now underway developing countries will grou faster than rich countries
a number of risk factors need to be monitored longer term structural problems persisting in rich countres
macro policy has largely run its couwrse may be insufficient to meet new challenges rising trade rrotectionism
increase in violent conflict
potential for additional new shocks
executives in both the private and public sectors an do much more to foresee major risks prepare for them and in fact thrive in crises and volatile times winning companies will pursue 3core action sets simultaneousl