Economic Management in a Volatile Environment

Monetary and Financial Issues
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ISBN-13:
9781137371515
Veröffentl:
2014
Erscheinungsdatum:
15.12.2014
Seiten:
283
Autor:
Ramkishen S Rajan
Gewicht:
499 g
Format:
216x140x18 mm
Sprache:
Englisch
Beschreibung:

This book discusses some of the challenges relating to macroeconomic and financial management in a volatile and uncertain world brought about by greater financial openness. It explores the implications of a key set of issues emanating from financial globalisation on emerging market economies in a rigorous but readable manner.
PART I: EXCHANGE RATES, RESERVES AND CONTROLS 1. What is the Extent of Monetary Sterilisation in China? (With A. Ouyang and T.D. Willett) 2. What Determines Real Exchange Rate Fluctuations? (With A. Ouyang) 3. What is the Impact of Capital Controls? (With J. Li) 4. Can International Currency Taxation Stabilise Currency Fluctuations? (With G. Bird) 5. Why Do Countries Accumulate International Reserves? (With V. Yanamandra) PART II: FINANCIAL CRISES, FINANCIAL LIBERALISATION AND FOREIGN BANK ENTRY 6. Comparing Financial Crises: What Lessons for Asia from the Eurozone Crisis? 7. Financial Liberalisation and Foreign Bank Entry: What is the Nexus? 8. Do Foreign Banks Enhance Banking System Efficiency? 9. How Do Foreign Banks Affect Firms' Access to Credit? 10. Why Do Banks Go Abroad?

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