The Global financial crisis / edited by Mark P. Taylor and Richard H. Clarida.
نوع المادة : نصالناشر:London : Routledge, 2012وصف:188p. : illustrations ; 28 cmنوع المحتوى:- text
- unmediated
- volume
- 9780415589147
- 0415589142
- 9780415657921 (pbk)
- 041565792X (pbk)
- Applied financial economics.
- HB3717 G564 2012
نوع المادة | المكتبة الحالية | رقم الطلب | رقم النسخة | حالة | تاريخ الإستحقاق | الباركود | |
---|---|---|---|---|---|---|---|
كتاب | UAE Federation Library | مكتبة اتحاد الإمارات General Collection | المجموعات العامة | HB3717 G564 2012 (إستعراض الرف(يفتح أدناه)) | C.1 | Library Use Only | داخل المكتبة فقط | 300100306784 | ||
كتاب | UAE Federation Library | مكتبة اتحاد الإمارات General Collection | المجموعات العامة | HB3717 G564 2012 (إستعراض الرف(يفتح أدناه)) | C.2 | المتاح | 300100307044 |
Browsing UAE Federation Library | مكتبة اتحاد الإمارات shelves, Shelving location: General Collection | المجموعات العامة إغلاق مستعرض الرف(يخفي مستعرض الرف)
HB3717 B744 2013 The Global financial crisis and its economic repercussions/ | HB3717 B744 2013 The Global financial crisis and its economic repercussions/ | HB3717 G564 2012 The Global financial crisis / | HB3717 G564 2012 The Global financial crisis / | HB3717.1929 .T45 1989 Lessons from the Great Depression | HB37172008 .U93 2015 الأزمة المالية العالمية و انعكاساتها الإقليمية : حالة دراسية : (دبي و اليونان 2009-2010) / | HB3718 W374 2013 The Global financial crisis : political and social unrest/ |
Includes bibliographical references and index.
"First published in 2011. This paperback edition published in 2012."
"First issued in paperback 2012"
"This book was published as a special issue of Applied financial economics"
Reprint. Originally published: 2011.
The global financial crisis has sent shockwaves through the world{u2019}s economies, and its effects have been deep and wide-reaching. This book brings together a range of applied studies, covering a range of international and regional experience in the area of finance in the context of the global downturn. The volume includes an exploration of the impact of the crisis on capital markets, and how corporate stakeholders need to be more aware of the decision-making processes followed by corporate executives, as well as an analysis of the policy changes instituted by the Fed and their effects. Other issues covered include research into the approach of solvent banks to toxic assets, the determinants of US interest rate swap spreads during the crisis, a new approach for estimating Value-at-Risk, how distress and lack of active trading can result in systemic panic attacks, and the dynamic interactions between real house prices, consumption expenditure and output. Highlighting the global reach of the crisis, there is also coverage of recent changes in the cross-currency correlation structure, the costs attached to global banking financial integration, the interrelationships among global stock markets, inter-temporal interactions between stock return differential relative to the US and real exchange rate in the two most recent financial crises, and research into the recent slowdown in workers{u2019} remittances.