UK Banks and the Lessons of the Great Financial Crisis, Barber Adam
Автор: Luque Jaime Perez Название: Subprime Crisis, The: Lessons For Business Students ISBN: 9813200030 ISBN-13(EAN): 9789813200036 Издательство: World Scientific Publishing Рейтинг: Цена: 7603.00 р. Наличие на складе: Есть у поставщика Поставка под заказ.
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?
Автор: Carney Название: Lessons from the Asian Financial Crisis ISBN: 0415667100 ISBN-13(EAN): 9780415667104 Издательство: Taylor&Francis Рейтинг: Цена: 2908.00 р. Наличие на складе: Есть у поставщика Поставка под заказ.
Описание: The contributors provide an overview of developments in the affected countries during the 1997 Asian financial crisis; lessons learned and corrective measures taken; lessons learned by regional and international actors; how domestic, regional, and international politics have affected the outcomes; the identification of potential future problems, and levels of preparedness.
Описание: As memories of the Global Financial Crisis begin to fade, David Rowe's book is a timely reminder of the need to expand risk management beyond purely technical analysis to broader consideration of social, organizational, political and technological issues. -Alan Greenspan, Former Chairman of the Federal Reserve Board This book is a broad ranging critique of risk management that should be required reading for all Chief Risk Officers and their staff. Whether they are new to their role or seasoned professionals tested by the unexpected, risk managers will gain valuable insights into the science and practice of their chosen field. David Rowe has selected topics drawn from his years in the trenches where he applied his technical expertise and common sense to close potentially dangerous gaps in risk management analytics, assumptions and systems. Every chapter offers real world examples and insights into both the value and the limitations of common risk measures and processes and how some of these contributed to the Global Financial Crisis. The book impresses upon readers the need to broaden their perspective based on experience, healthy skepticism and common sense. -David Martens, Former CRO of the Federal Home Loan Bank of San Francisco There are many highly technical books that deal with the details of statistical and other analytical tools used in economic and financial analysis. This book is not an attempt to add to that vast body of material. Rather, it encourages readers to step back from the swirling mass of details that often characterize such analysis and ask a more basic question, namely, "What are the assumptions and mental frameworks they should bring to such work, especially to the frustratingly amorphous subject of risk measurement and management?"
Автор: Michaelides Alexander Et Al Название: Cyprus Bail-In, The: Policy Lessons From The Cyprus Economic Crisis ISBN: 1783268751 ISBN-13(EAN): 9781783268757 Издательство: World Scientific Publishing Рейтинг: Цена: 18216.00 р. Наличие на складе: Есть у поставщика Поставка под заказ.
Описание: On June 28th 2012, the small island of Cyprus became the fifth government to request an economic bail-out from the Eurozone after losing access to international capital markets.
Автор: Dewatripont Mathias, Rochet Jean-Charles, Tirole Jean Название: Balancing the Banks: Global Lessons from the Financial Crisis ISBN: 0691168199 ISBN-13(EAN): 9780691168197 Издательство: Wiley Рейтинг: Цена: 2850.00 р. Наличие на складе: Есть у поставщика Поставка под заказ.
Описание: The financial crisis that began in 2007 in the United States swept the world, producing substantial bank failures and forcing unprecedented state aid for the crippled global financial system. Bringing together three leading financial economists to provide an international perspective, Balancing the Banks draws critical lessons from the causes of th
Автор: Barth James R., Kaufman George G. Название: The First Great Financial Crisis of the 21st Century: A Retrospective ISBN: 9814651249 ISBN-13(EAN): 9789814651240 Издательство: World Scientific Publishing Рейтинг: Цена: 21859.00 р. Наличие на складе: Есть у поставщика Поставка под заказ.
Описание: Although There Have Been Numerous Studies Of The Causes And Consequences Of The Great Financial Crisis Of 2007–2010 In The Us And Abroad, Many Of These Were Undertaken Only For A Small Number Of Countries And Before The Financial And Economic Effects Were Fully Realized And Before Various Governmental Policy Responses Were Decided Upon And Actually Implemented. This Book Aims To Fill These Voids By Providing A More Thorough Assessment Now That The Worst Events And The Regulatory Reforms Are Sufficiently Behind Us And Much More Information About These Developments Is Available. It Reviews And Analyzes The Causes And Consequences Of And The Regulatory Responses To The Great Financial Crisis, Particularly From A Public Policy Viewpoint. In The Process, It Explores Such Intriguing Questions As: What Caused The Crisis? How Did The Crisis Differ Across Countries? What Is The Outlook For Another Crisis, And When? This Is A Must Read For Those Who Are Trying To Find Answers To These Questions.
Описание: A penetrating critique tracing how under-regulated trading between European and U.S. banks led to the 2008 financial crisis--with a prescription for preventing another meltdown
There have been numerous books examining the 2008 financial crisis from either a U.S. or European perspective. Tamim Bayoumi is the first to explain how the Euro crisis and U.S. housing crash were, in fact, parasitically intertwined.
Starting in the 1980s, Bayoumi outlines the cumulative policy errors that undermined the stability of both the European and U.S. financial sectors, highlighting the catalytic role played by European mega banks that exploited lax regulation to expand into the U.S. market and financed unsustainable bubbles on both continents. U.S. banks increasingly sold sub-par loans to under-regulated European and U.S. shadow banks and, when the bubbles burst, the losses whipsawed back to the core of the European banking system. A much-needed, fresh look at the origins of the crisis, Bayoumi's analysis concludes that policy makers are ignorant of what still needs to be done both to complete the cleanup and to prevent future crises.
Автор: Maurer Raimond, Mitchell Olivia S., Warshawsky Mark J. Название: Reshaping Retirement Security: Lessons from the Global Financial Crisis ISBN: 0199660697 ISBN-13(EAN): 9780199660698 Издательство: Oxford Academ Рейтинг: Цена: 12514.00 р. Наличие на складе: Есть у поставщика Поставка под заказ.
Описание: The book explores the lessons to be learnt for retirement planning and long-term financial security in view of the massive shocks to stock markets, labour markets, and pension plans caused by the financial crisis. It aims to rethink the resilience of defined contribution plans and how defined benefit plans reacted to the financial crisis.
Chapter 1: Introduction.- Part I: Global Economic Crisis.- Chapter 2: The Road from Prosperity into the Crisis: The Long Cycle of Post-War Economic, Social and Political Development.- Chapter 3: The Systemic Nature of the Global Crisis and Some Principles for Tackling it.- Part II: Regional Governance and Crisis Management in Europe and Latin America.- Chapter 4: EU's Double Democratic Deficit.- Chapter 5: European Union's Democratic Legitimacy after the MoUs: The Political Legacy of an Economic Crisis.- Chapter 6: Finance Capitalism and Democracy: The Case of the Financial Transactions Tax.- Chapter 7: Regional Governance and Macroeconomic Crisis Management in Latin America.- Part III: Impact of the Crisis in Europe and Latin America: National Level.- Chapter 8: Managing the Crisis in Greece: The Missing Link Between External Conditionality and Domestic Political Economy.- Chapter 9: The Crisis, its Management and Impact on Equity and Democracy in Portugal and Possible Consequences for the EU.- Chapter 10: The 2011 Crisis in Italy: A Story of Deep Rooted (and Still Unresolved) Economic and Political Weaknesses.- Chapter 11: Latin American Economic Crises and Populist Bids: Argentina, Brazil and Mexico.- Chapter 12: The Fall of a Giant: Greed, Corruption and Abuse of Power Undermining Democracy in Brazil.- Chapter 13: Venezuela in Crisis - Governance, Equity and Democracy.- Part IV: Impact of the Crisis in Europe and Latin America: Regional Level.- Chapter 14: The Rise of Right-wing Populism in Europe: A Psychoanalytical Contribution.- Chapter 15: European Economic Governance and Rising Sovereignism.- Chapter 16: Eurozone Crisis Management and the Growth of Opposition to European Integration.- Chapter 17: A 'Pink Tide' Than a 'Turn to the Right': Populisms and Extremism in Latin America in the 21st Century.- Chapter 18: The Impact of the Global Financial Crisis on Latin American Regionalism and Beyond.- Part V: Conclusions.- Chapter 19: Comparing the Crises in Europe and Latin America: Causes, Management and Consequences.- Part VI: Reform Proposals.- Chapter 20: Financial Instability, Climate Change and the 'Digital Colonization' of Europe: Some Unconventional Proposals.- Chapter 21: Promoting Investment in the European Union, Evaluating the Junker Plan.- Chapter 22: Proposal for a Pact for National Responsibility Through EU Solidarity within the Present EU Architecture.- Chapter 23: Proposals for Reforms and Democratization of the EMU.- Chapter 24: Operational Proposal for an EU-CELAC Strategic Alliance.- Chapter 25: Epilogue - Financial Crises, Regionalism and Domestic Adjustment.
Описание: The recent financial crisis had a profound effect on both public and private universities. Universities responded to these stresses in different ways. This volume presents new evidence on the nature of these responses and how the incentives and constraints facing different institutions affected their behavior.
Автор: Mettenheim Название: Alternative Banking and Financial Crisis ISBN: 1848934475 ISBN-13(EAN): 9781848934474 Издательство: Taylor&Francis Рейтинг: Цена: 24499.00 р. Наличие на складе: Есть у поставщика Поставка под заказ.
Описание: The recent banking crisis has brought into question the business model used by most large banks. This collection of essays explores the success of `alternative banks` - savings banks, cooperative banks and development banks, using case studies from around the world and discussion of both the historical and theoretical context of banking practices.
Автор: Mettenheim Название: Alternative Banking and Financial Crisis ISBN: 1138663085 ISBN-13(EAN): 9781138663084 Издательство: Taylor&Francis Рейтинг: Цена: 8573.00 р. Наличие на складе: Есть у поставщика Поставка под заказ.
Описание: The recent banking crisis has brought into question the business model used by most large banks. This collection of essays explores the success of `alternative banks` - savings banks, cooperative banks and development banks, using case studies from around the world and discussion of both the historical and theoretical context of banking practices.
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