Автор: Acemoglu, Daron Название: Introduction to Modern Economic Growth ISBN: 0691132925 ISBN-13(EAN): 9780691132921 Издательство: Wiley Рейтинг: Цена: 8712.00 р. Наличие на складе: Есть у поставщика Поставка под заказ.
Описание: Gives graduate student`s tools to analyze growth and related macroeconomic problems, and also perspective needed to apply those tools to the big-picture questions of growth and divergence. In this title, the author introduces economic and mathematical foundations of modern growth theory and macroeconomics in a rigorous and easy to follow manner.
Описание: We are pleased to announce that A Critical History of Financial Crises has been included in CHOICE Magazine's Outstanding Academic Title list. Only the most outstanding works have been selected for their excellence in scholarship and presentation, the significance of their contribution to the field, and their value as important — often the first — treatment of their subject.For more information on CHOICE Magazine's Outstanding Academic Title list, please visit the following link: www.choice360.org/products/magazine /remove 'While each financial crisis is unique and has its own special features, there are a lot of similarities in the dynamics leading to a crisis and also in their resolutions. Some of the financial crises are caused by the lack of appropriate regulation, but often the regulators were ignoring the signals of imminent crises, while serving implicitly or explicitly, the financial industry.In his book, Prof. Kedar-Levy is providing a fresh look at many famous financial crises around the globe, analysing their causes and effects. The special role of regulators is highlighted, including the 'Capture Theory' in practice. This book is suitable for economist as well as for those interested in economic history, and for all those concerned with the stability of current international financial markets.'Professor Dan GalaiThe Hebrew University, Jerusalem
Автор: Esa Jokivuolle, Radu Tunaru Название: Preparing for the Next Financial Crisis: Policies, Tools and Models ISBN: 1316636534 ISBN-13(EAN): 9781316636534 Издательство: Cambridge Academ Рейтинг: Цена: 3008.00 р. Наличие на складе: Есть у поставщика Поставка под заказ.
Описание: This book focuses perspectives on finance and banking on predicting future financial crises. It is for students and scholars in financial regulation, banking and macroprudential policy-making, as well as practitioners working in central banks and other financial institutions concerned with risk management and financial regulation.
Current debates about economic crises typically focus on the role that public debt and debt-fueled public spending play in economic growth. This illuminating and provocative work shows that it is the rapid expansion of private rather than public debt that constrains growth and sparks economic calamities like the financial crisis of 2008. Relying on the findings of a team of economists, credit expert Richard Vague argues that the Great Depression of the 1930s, the economic collapse of the past decade, and many other sharp downturns around the world were all preceded by a spike in privately held debt. Vague presents an algorithm for predicting crises and argues that China may soon face disaster. Since American debt levels have not declined significantly since 2008, Vague believes that economic growth in the United States will suffer unless banks embrace a policy of debt restructuring. All informed citizens, but especially those interested in economic policy and history, will want to contend with Vague's distressing arguments and evidence.
Описание: Ireland`s spectacular financial bubble, bust and recovery has been an important strand of the global financial crisis. In this book, an experienced insider provides a detailed narrative of Ireland`s crisis and recovery within a discussion of what central banks do well, what they do poorly and how policymaking should adjust.
Among the founding nations of the European Union, no nation has experienced a more devastating affect from the 2008 economic crisis than Italy. Although its recovery has recently begun, Italy has fallen even further behind EU economic leaders and the EU average. Looking at how and why this happened, Facing the Crisis brings together ethnographic material from anthropological research projects carried out in various Italian industrial locations. With its wide breadth of locations and industries, the volume looks at all corners of the diverse Italian manufacturing system.
Автор: William Quinn, John D. Turner Название: Boom and Bust: A Global History of Financial Bubbles ISBN: 1108421253 ISBN-13(EAN): 9781108421256 Издательство: Cambridge Academ Рейтинг: Цена: 4909.00 р. Наличие на складе: Есть у поставщика Поставка под заказ.
Описание: Why do stock and housing markets sometimes experience amazing booms followed by massive busts and why is this happening more and more frequently? Boom and Bust reveals why bubbles happen, and why some bubbles have catastrophic economic, social and political consequences, whilst others have actually benefited society.
Автор: Perez-Uribe Rafael Ignacio, Salcedo-Perez Carlos, Carvajal-Contreras Andres Название: Handbook of Research on Organizational Sustainability in Turbulent Economies ISBN: 1799893014 ISBN-13(EAN): 9781799893011 Издательство: Mare Nostrum (Eurospan) Рейтинг: Цена: 49342.00 р. Наличие на складе: Есть у поставщика Поставка под заказ.
Описание: Investigates the cultural, financial, and social factors affecting research and knowledge management in higher education institutions. The book considers strategic decisions made by university administrators and the adoption of decisions made by individual staff members.
Описание: This study provides a review of infectious disease risk financing schemes to draw lessons and recommend solutions for the Central Asia Regional Economic Cooperation (CAREC) member countries.CAREC region was badly affected by the COVID-19 pandemic. Prearranged financing for shock events greatly enhances the cost-efficiency and effectiveness of response, but this was virtually nonexistent for infectious diseases risk prior to the COVID-19 outbreak. The study offers some recommendations to strengthen the disaster risk management strategies and public sector budget resilience of CAREC member countries.
Описание: This supplement discusses disaster risk, resilience and risk management in Asia and the Pacific. It highlights policy lessons for disaster resilience and pandemic recovery.
Asia and the Pacific has seen tremendous economic and social progress since the 1960s. Yet, the region remains vulnerable to natural hazards and to rising disaster risk that threatens its hard-won gains. The coronavirus disease (COVID-19) pandemic has illustrated how high the human and economic costs of disasters can be. This supplement focuses on disasters triggered by natural hazards, explores the effects of COVID-19 and policy responses, and highlights lessons from across the region.
Описание: Globalization, Political Economy, Business and Society in Pandemic Times contributes to the growing literature on COVID-19 through a multidisciplinary approach by helping build a holistic understanding of the impact of the COVID-19 pandemic on politics, economies, business, and society in a globalized world.
Описание: Unleashes the broad potential of entrepreneurial activity by exploring and highlighting new businesses and, as a result, the well-being of millions of people globally throughout the COVID-19 pandemic and prospects for the future. The book covers a range of topics, including student empowerment, economic sectors, and personal finance.
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