Îïèñàíèå: This book explores the challenges faced by the Japanese economy and the Japanese banking industry following the financial crisis that emerged around the turn of the last millennium. The author explores how the Japanese financial crisis of the late 1990s engendered huge restructuring efforts in the banking industry, which eventually led to even more sweeping changes of the economic system and long-term deflation in the 2000s. The discussion begins with an overview of the unconventional monetary policy launched by the Bank of Japan at this time, while banking administrative policies maintained their strict code of governance. The author describes how, just as recovery seemed possible, the twin disasters of the Lehman shock and the Great East Japan Earthquake buffeted the recovering economy, and pushed Japan again into deflation. The book also looks to the very recent past, with the sudden advent of Abenomics in 2013, with its three-pronged approach, which was intended to break the deflationary mindset. Finally, the author projects what the future of the banking industry in Japan might encompass, as looming demographic changes gradually threaten both the economy and the banking industry.
Îïèñàíèå: � This book explores some relevant distortions and market failures in financial and banking markets caused by the recent financial crisis and offers important insights to policymakers as well.
Àâòîð: Sanjai Bhagat Íàçâàíèå: Financial Crisis, Corporate Governance, and Bank Capital ISBN: 1107170648 ISBN-13(EAN): 9781107170643 Èçäàòåëüñòâî: Cambridge Academ Ðåéòèíã: Öåíà: 6811.00 ð. Íàëè÷èå íà ñêëàäå: Åñòü ó ïîñòàâùèêà Ïîñòàâêà ïîä çàêàç.
Îïèñàíèå: This book proposes a solution to the `too big to fail` problem that will help to prevent future financial crises through the restructuring of executive incentive programmes. It will be of great value to corporate executives, corporate board members, institutional investors and economic policymakers, as well as students studying finance, economics and law.
Àâòîð: Miao Han Íàçâàíèå: Central Bank Regulation and the Financial Crisis ISBN: 1137563079 ISBN-13(EAN): 9781137563071 Èçäàòåëüñòâî: Springer Ðåéòèíã: Öåíà: 14673.00 ð. Íàëè÷èå íà ñêëàäå: Åñòü ó ïîñòàâùèêà Ïîñòàâêà ïîä çàêàç.
Îïèñàíèå: Focusing on four central banks including the US Federal Reserve System, the Bank of England, the Bank of Japan and the People`s Bank of China, it illustrates the similarities between the banks prior to the crisis, and their similar policy responses in the wake of the crisis.
Àâòîð: Allen Íàçâàíèå: International Liquidity and the Financial Crisis ISBN: 1107420326 ISBN-13(EAN): 9781107420328 Èçäàòåëüñòâî: Cambridge Academ Ðåéòèíã: Öåíà: 6018.00 ð. Íàëè÷èå íà ñêëàäå: Åñòü ó ïîñòàâùèêà Ïîñòàâêà ïîä çàêàç.
Îïèñàíèå: International Liquidity and the Financial Crisis describes in forensic detail how central banks around the world, led by the Federal Reserve, provided huge injections of liquidity following the collapse of Lehman Brothers. It compares the 2008 crisis with the disaster of 1931 and analyses its legacy for monetary policy.
Àâòîð: Beblav? Íàçâàíèå: The Euro Area and the Financial Crisis ISBN: 1107673003 ISBN-13(EAN): 9781107673007 Èçäàòåëüñòâî: Cambridge Academ Ðåéòèíã: Öåíà: 7445.00 ð. Íàëè÷èå íà ñêëàäå: Åñòü ó ïîñòàâùèêà Ïîñòàâêà ïîä çàêàç.
Îïèñàíèå: Written by a team of leading academic and central bank economists, this book presents the latest research on how the world financial crisis has struck the euro area and what policy changes and structural reforms, both macro and micro, should be undertaken to ensure its future viability.
Àâòîð: Emmanuel Haven and Philip Molyneux Íàçâàíèå: The Handbook of Post Crisis Financial Modelling ISBN: 1137494484 ISBN-13(EAN): 9781137494481 Èçäàòåëüñòâî: Springer Ðåéòèíã: Öåíà: 12577.00 ð. Íàëè÷èå íà ñêëàäå: Åñòü ó ïîñòàâùèêà Ïîñòàâêà ïîä çàêàç.
Îïèñàíèå: The 2008 financial crisis was a watershed moment which clearly influenced the public`s perception of the role of `finance` in society. This is the first comprehensive handbook to look at financial modelling post crisis from the legal/historical; empirical modelling; stochastic; and non-stochastic modelling perspectives.
Îïèñàíèå: Based on the crisis experience, the book offers an overview of lessons for macrofinancial analysis and financial stability. It illustrates the interlinkages between the financial side and the real side of the economy and highlights the role of balance sheet variables and sectoral balance sheet positions in the evolution of the financial crisis.
Àâòîð: Radoselovics Íàçâàíèå: Crisis, Risk and Stability in Financial Markets ISBN: 1137001828 ISBN-13(EAN): 9781137001825 Èçäàòåëüñòâî: Springer Ðåéòèíã: Öåíà: 12577.00 ð. Íàëè÷èå íà ñêëàäå: Åñòü ó ïîñòàâùèêà Ïîñòàâêà ïîä çàêàç.
Îïèñàíèå: This book presents an in-depth appreciation of key topics related to the behaviour of financial institutions in the crisis and stresses areas of major research interest. It covers a selection of papers specialising ranging from the analysis of bank and stock market performance in the crisis, to other areas such as microinsurance and social lending.
Àâòîð: Pepino Íàçâàíèå: Sovereign Risk and Financial Crisis ISBN: 113751163X ISBN-13(EAN): 9781137511638 Èçäàòåëüñòâî: Springer Ðåéòèíã: Öåíà: 9781.00 ð. Íàëè÷èå íà ñêëàäå: Åñòü ó ïîñòàâùèêà Ïîñòàâêà ïîä çàêàç.
Îïèñàíèå: This book provides an original and timely insight into the role that the domestic and international political economy played in the Eurozone sovereign debt crisis, combining an innovative theoretical framework with in-depth bond market analysis.
Àâòîð: Giovanoli, Mario; Devos, Diego Íàçâàíèå: International Monetary and Financial Law: The Global Crisis ISBN: 0199588414 ISBN-13(EAN): 9780199588411 Èçäàòåëüñòâî: Oxford Academ Ðåéòèíã: Öåíà: 45936.00 ð. Íàëè÷èå íà ñêëàäå: Ïîñòàâêà ïîä çàêàç.
Îïèñàíèå: This new book is a unique collaboration of the top academic and practitioner monetary and financial lawyers from around the world. It examines current legal issues of international monetary and financial law in the light of the current global financial crisis and consequent reforms of international and domestic financial architecture.
Àâòîð: Theodore Íàçâàíèå: Cyprus and the Financial Crisis ISBN: 1137452749 ISBN-13(EAN): 9781137452740 Èçäàòåëüñòâî: Springer Ðåéòèíã: Öåíà: 12157.00 ð. Íàëè÷èå íà ñêëàäå: Åñòü ó ïîñòàâùèêà Ïîñòàâêà ïîä çàêàç.
Îïèñàíèå: The 2012-2013 economic crisis in the Republic of Cyprus is commonly attributed to a number of factors, including the exposure of Cypriot banks to over leveraged local property companies;