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Money, finance and crises in economic history, 


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Название:  Money, finance and crises in economic history
ISBN: 9780367665432
Издательство: Taylor&Francis
Классификация:




ISBN-10: 0367665433
Обложка/Формат: Paperback
Страницы: 264
Вес: 0.42 кг.
Дата издания: 30.09.2020
Серия: Routledge studies in the history of economics
Язык: English
Размер: 156 x 232 x 24
Читательская аудитория: Tertiary education (us: college)
Подзаголовок: The long-term impact of economic ideas
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Поставляется из: Европейский союз
Описание: Recently, students and scholars have expressed dissatisfaction with the current state of economics, and have called for the re-introduction of historical perspectives into economic thinking. Supporting the idea that fruitful lessons can be drawn from the work of past economists, this book draws on the work of economists throu


The Future of Money: How the Digital Revolution Is Transforming Currencies and Finance

Автор: Prasad, Eswar
Название: The Future of Money: How the Digital Revolution Is Transforming Currencies and Finance
ISBN: 0674258444 ISBN-13(EAN): 9780674258440
Издательство: Wiley
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Цена: 4902.00 р.
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Описание: New technologies are shaking the foundations of traditional finance. Leading economist Eswar Prasad foresees the end of cash, as central banks develop their own digital currencies to compete with Bitcoin and Facebook`s Diem. Money and finance are on the verge of dramatic transformations that will reshape their roles in the lives of ordinary people.

A Critical History Of Financial Crises, A: Why Would Politicians And Regulators Spoil Financial Giants?

Автор: Kedar-Levy Haim
Название: A Critical History Of Financial Crises, A: Why Would Politicians And Regulators Spoil Financial Giants?
ISBN: 1908977469 ISBN-13(EAN): 9781908977465
Издательство: World Scientific Publishing
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Цена: 7603.00 р.
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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

Preparing for the Next Financial Crisis: Policies, Tools and Models

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
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Цена: 3008.00 р.
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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.

A Course in Behavioral Economics

Автор: Erik Angner
Название: A Course in Behavioral Economics
ISBN: 1352010801 ISBN-13(EAN): 9781352010800
Издательство: Bloomsbury
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Цена: 6986.00 р.
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Описание: This textbook looks at decisions - how we make them, and what makes them good or bad. In this bestselling introduction, Erik Angner clearly lays out the theory of behavioral economics and explains the intuitions behind it. The book offers a rich tapestry of examples, exercises, and problems drawn from fields such as economics, management, marketing, political science, and public policy. It shows how to apply the principles of behavioral economics to improve your life and work - and to make the world a better place to boot. No advanced mathematics is required.

This is an ideal textbook for students coming to behavioral economics from various fields. It can be used on its own in introductory courses, or in combination with other texts at advanced undergraduate and postgraduate levels. It is equally suitable for general readers who have been captivated by popular-science books on behavioral economics and want to know more about this intriguing subject.

New to this Edition:
- An updated chapter on behavioral policy and the nudge agenda.
- Several new sections, for example on the economics of happiness.
- Updated examples and exercises, with an expanded answer key
- Refreshed ancillary resources make for a plug and play experience for instructors teaching behavioral economics for the first time

Financial Markets and Institutions

Автор: de Haan Jakob
Название: Financial Markets and Institutions
ISBN: 1107635926 ISBN-13(EAN): 9781107635920
Издательство: Cambridge Academ
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Цена: 5542.00 р.
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Описание: Since the first edition of this book, the world's financial system went through its greatest crisis for a century. What made this crisis unique is that severe financial problems emerged simultaneously in many different countries and that its economic impact was felt throughout the world as a result of the increased interconnectedness of the global economy. Written for undergraduate and graduate students of finance, economics and business, the second edition of this successful textbook provides a fresh analysis of the world financial system in light of the recent financial crisis. Combining theory, empirical data and policy, it examines and explains financial markets, financial infrastructures, financial institutions and challenges in the domain of financial supervision and competition policy. This new edition features three completely new chapters, one on financial crises, a second on financial innovation, and, on the policy side, a third on the monetary policy of the European Central Bank.

Ten Crises

Автор: Montiel
Название: Ten Crises
ISBN: 0415539730 ISBN-13(EAN): 9780415539739
Издательство: Taylor&Francis
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Цена: 7961.00 р.
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Описание: Financial crises are dramatic events. When they emerge, they tend to dominate the attention of the press and become the focus of policymakers. In one form or another, they have affected the lives of millions of people throughout the world. As references to 16th century Dutch tulips, 18th South Seas merchant ventures, or 1920s Florida real estate make clear, they have been around for a long time. At their worst, such as in the cases of the Great Depression or the current Great Recession, their effects have been felt worldwide, with the number of people affected counted into the billions. They have at times changed the course of history.

This book analyses ten of the most important financial crises of the last thirty years. The specific crises covered in the book are the 1982 Chilean crisis, the 1992 ERM crisis, the 1994 Mexican crisis, the 1997 Asian crisis, the 1998 Russian crisis, the 1999 Brazilian crisis, the 1999 Ecuadorian crisis, the 2000 Turkish crisis, the 2002 Argentine crisis, and the 2008 crisis in Iceland. The set includes the most important emerging-market crises of the last three decades as well as two particularly informative advanced-country crises, the ERM crisis of 1992 and the Icelandic crisis of 2008. A separate chapter is devoted to each crisis, and a brief concluding chapter sums up some of the key lessons that I believe that we can draw from these events.

Surviving The Global Financial And Economic Downturn (Iu36C)

Автор: Jalilian, Sothorn, Reyes & Kimsu
Название: Surviving The Global Financial And Economic Downturn (Iu36C)
ISBN: 9814459666 ISBN-13(EAN): 9789814459662
Издательство: Mare Nostrum (Eurospan)
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Цена: 8455.00 р.
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Описание: The global financial and economic shock of 2007-09 is the third major economic crisis to have buffeted Cambodia in its post-conflict period, coming in the wake of the food crisis of 2007-08 and just a decade after the Asian financial crisis of 1997-98 (the ""triple crises""). Cambodia's post-conflict history can be divided into two periods: 1991-98, referred to as the early phase of transition during which the first of the triple crises, the Asian financial crisis, occurred; and 1998 to the present, the late phase of transition during which the food and economic shocks transpired. A stocktake of the developments in Cambodia's post-conflict history suggests that the country has come a long way in reinstituting the foundations of a capitalist economic and procedural democracy but has yet to make significant headway in economic sophistication and substantive democracy. The triple crises were different, yet had similar characteristics. They were all exogenously-driven shocks with their own specific causes but their effects were shaped by the country's situation at the time. In terms of magnitude of impact, the global financial and economic downturn was the worst of the three crises. That it caused the first ever growth contraction in the post-conflict period was sufficient rationale for the series of studies that substantiate this book. Like the two shocks that preceded it however, the way it impacted on Cambodia cannot be understood in isolation from the overall post-conflict milieu. The thesis here is not that endogenous factors caused the crisis. It is simply that endogenous factors shaped the impact of the crisis and a historical, as opposed to a static, analysis better illuminates the nature of the impact.This book is an in-depth comprehensive examination of the impact of the global financial and economic crisis on Cambodia. It probes into the effects of the shock at macro, sectoral and micro levels using qualitative and quantitative techniques.

Financial Innovation, Regulation and Crises in History

Автор: James
Название: Financial Innovation, Regulation and Crises in History
ISBN: 1848935048 ISBN-13(EAN): 9781848935044
Издательство: Taylor&Francis
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Цена: 24499.00 р.
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Описание: With contributions from world-renowned figures such as Niall Ferguson and Adair Turner, this volume investigates how financial institutions and markets have undergone or reacted to past pressures, and the regulatory responses that emerged as a result.

Subprime Crisis, The: Lessons For Business Students

Автор: Luque Jaime Perez
Название: Subprime Crisis, The: Lessons For Business Students
ISBN: 9813200030 ISBN-13(EAN): 9789813200036
Издательство: World Scientific Publishing
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Цена: 7603.00 р.
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Описание: The first major global economic contraction of the 21st century, or the 'Great Recession', as it is more commonly known, began in December of 2007, and would prove to be one of the most catastrophic economic events in postmodern history. The bursting of the American housing bubble and the subprime mortgage crisis that followed are widely attributed as being the primary causes for this economic downturn.The content of this book presents an in-depth analysis of several of the leading causes of the subprime crisis, as well as the subsequent measures that were used to contain a widespread economic recession. It is the aim of this book to provide adequate information and tools for readers to gain insight on how we can prevent the same mistakes from happening again. This analysis also explores an interesting question when considering public policy; was the economic disaster, that ensued, caused by overzealous consumers who borrowed more than they could afford, or was it caused by institutional entities that gambled away the American economy?

Money, Finance and Crises in Economic History

Автор: Annalisa Rosselli, Nerio Naldi, Eleonora Sanfilipp
Название: Money, Finance and Crises in Economic History
ISBN: 1138089818 ISBN-13(EAN): 9781138089815
Издательство: Taylor&Francis
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Цена: 22202.00 р.
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Описание: Recently, students and scholars have expressed dissatisfaction with the current state of economics and have called for the reintroduction of historical perspectives into economic thinking. Supporting the idea that fruitful lessons can be drawn from the work of past economists, this volume brings together an international cross section of leading economists and historians of economic thought to reflect on the crucial role that money, crises and finance play in the economy. The book draws on the work of economists throughout history to consider afresh themes such as financial and real explanations of economic crises, the role of central banks, and the design of macroeconomic policies. These themes are all central to the work of Maria Cristina Marcuzzo, and the contributions both reflect on and further her research agenda. This book will be of interest to researchers in the history of economic thought, and those who wish to gain a deeper understanding of the variety and diversity in approaches to economic ideas throughout history.

Essentials of Money and Capital Markets: Fixed Income Markets and Institutions

Автор: Livingston Miles
Название: Essentials of Money and Capital Markets: Fixed Income Markets and Institutions
ISBN: 1516592786 ISBN-13(EAN): 9781516592784
Издательство: Mare Nostrum (Eurospan)
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Цена: 11781.00 р.
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Описание:

Essentials of Money and Capital Markets provides students with a comprehensive but concise exploration of financial institutions and financial instruments.

The book begins with a discussion of the debt levels in the United States, the variability of interest rates, and the financial crisis of 2007-2009. Over the course of 14 chapters, students learn about the Federal Reserve, the U.S. Treasury, pension plans, mutual funds, banks, determinants of interest rates, time values, money market instruments and rates, and the risks associated with changing interest rates. Dedicated chapters address spot and forward interest rates, arbitrage for bonds, theories of the term structure of interest rates, bond ratings and default risk, mortgages and mortgage-backed securities, futures contracts, and financial futures.

The fourth edition features updated coverage of the causes and consequences of the financial crisis of 2007-2009.

Featuring class-tested content and insightful coverage, Essentials of Money and Capital Markets is well suited for graduate and upper-level undergraduate courses in business, economics, and finance.

Miles B. Livingston is the Bank of America Professor of Finance in the Warrington College of Business at the University of Florida. He holds a Ph.D. and M.B.A. with distinction from New York University and a B.A. from Columbia University. Professor Livingston has taught at the University of Wisconsin, the University of Oregon, Concordia University, York University, the College of William and Mary, Erasmus University, and the University of Melbourne. He has published numerous scholarly articles in a variety of finance journals. In 2005, he was named a Prolific Author in Finance by the Journal of Finance Literature.

The Federal Reserve`s Role in the Global Economy: A Historical Perspective

Автор: Michael D. Bordo, Mark A. Wynne
Название: The Federal Reserve`s Role in the Global Economy: A Historical Perspective
ISBN: 131650655X ISBN-13(EAN): 9781316506554
Издательство: Cambridge Academ
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Цена: 5702.00 р.
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Описание: Based on a conference held as part of the US Federal Reserve System`s centennial, this book critically evaluates the role of the Federal Reserve System in the international monetary system over the past one hundred years and looks ahead to the challenges it will face under the twenty-first-century fiat standard.


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