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BOOK EXCERPT:
Financial crises have occurred throughout history, resulting in the loss of national and international public and personal wealth, creating political uncertainty and shaking the foundations of the national, regional and international economic and social order. This book provides answers to the basic questions of what could have caused some of the more recent regional financial crises, what their key characteristics were, how they could have been prevented, what lessons national governments, central bankers and the International Monetary Fund (IMF) have learned and how such crises could be prevented in the future. The authors include current and former cabinet members of national governments, central bankers, IMF officials, scholars and practicing economists in both national and multilateral organizations, all of whom have either participated in the management of the various types of financial crises they analyze and discuss and/or have made major contributions to their understanding, including recommendations of how they could be avoided in the future.
Product Details :
Genre |
: Business & Economics |
Author |
: Scheherazade S. Rehman |
Publisher |
: Springer Science & Business Media |
Release |
: 2012-12-06 |
File |
: 352 Pages |
ISBN-13 |
: 9789401148641 |
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East Asian countries were notably uninterested in regional monetary integration until the late 1990's, when the Asian financial crisis revealed the fragility of the region's exchange rate arrangements and highlighted the need for a stronger regional financial architecture. Since then, the countries of East Asia have begun taking steps to explore monetary and financial cooperation, establishing such initiatives as regular consultations among finance ministers and central bank governors and the pooling of foreign exchange reserves. In this book Ulrich Volz investigates the prospects for monetary cooperation and integration in East Asia, using state-of-the-art theoretical and empirical tools to analyze the most promising policy options. --
Product Details :
Genre |
: East Asia |
Author |
: Ulrich Volz |
Publisher |
: MIT Press |
Release |
: 2010 |
File |
: 339 Pages |
ISBN-13 |
: 9780262013994 |
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BOOK EXCERPT:
The Financial Crisis was a cross-sector crisis that fundamentally affected modern society. Regulation, as a concept, was both blamed for allowing the crisis to happen, but also tasked with developing and implementing solutions in the wake of the crash. In this book, a number of specialists from a range of fields have contributed their insights into the effect of the Financial Crisis upon the regulatory frameworks affecting their fields, how regulators have responded to the Crisis, and then what this may mean for the future of regulation within those industries. These analyses are joined by a picture of past financial crises – which reveals interesting patterns – and then analyses of architectural regulatory models that were fundamentally affected by the Crisis. The book aims to allow sector specialists the freedom to share their insights so that, potentially, a broader picture can be identified. Providing an interesting and thought-provoking account of this societally impactful era, this book will help the reader develop a more informed understanding of the potential future of financial regulation. The book will be of value to researchers, students, advanced level students, regulators, and policymakers.
Product Details :
Genre |
: Law |
Author |
: Daniel Cash |
Publisher |
: Routledge |
Release |
: 2020-11-24 |
File |
: 233 Pages |
ISBN-13 |
: 9780429576539 |
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BOOK EXCERPT:
A leading academic authority and policymaker discusses monetary policy strategy from the perspectives of both scholar and practitioner, offering theory, econometric evidence, and extensive case studies. This book by a leading authority on monetary policy offers a unique view of the subject from the perspectives of both scholar and practitioner. Frederic Mishkin is not only an academic expert in the field but also a high-level policymaker. He is especially well positioned to discuss the changes in the conduct of monetary policy in recent years, in particular the turn to inflation targeting. Monetary Policy Strategy describes his work over the last ten years, offering published papers, new introductory material, and a summing up, “Everything You Wanted to Know about Monetary Policy Strategy, But Were Afraid to Ask,” which reflects on what we have learned about monetary policy over the last thirty years. Mishkin blends theory, econometric evidence, and extensive case studies of monetary policy in advanced and emerging market and transition economies. Throughout, his focus is on these key areas: the importance of price stability and a nominal anchor; fiscal and financial preconditions for achieving price stability; central bank independence as an additional precondition; central bank accountability; the rationale for inflation targeting; the optimal inflation target; central bank transparency and communication; and the role of asset prices in monetary policy.
Product Details :
Genre |
: Business & Economics |
Author |
: Frederic S. Mishkin |
Publisher |
: MIT Press |
Release |
: 2009-08-21 |
File |
: 561 Pages |
ISBN-13 |
: 9780262513371 |
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BOOK EXCERPT:
This two-volume book examines the most important global problem—the recovery of the social-economic crises due to the COVID-19 pandemic. This economic crisis has its own basis and differs from others by the lockdown of most businesses on the decision of authorities. The uncertainty of the future economic revival obliges scientists around the world to unite in search of effective solutions that will become the basis for prosperity and human wellbeing. The death of millions of people around the world, several waves of coronavirus, and a global pandemic have forced most states to seek extraordinary measures to save people and revive economic activity. The world economy experienced a global shock, probably never experienced before due to lockdowns. The disruptions and gaps in the value chains were primarily caused by the lockdowns of enterprises. The change in the essence of the economic crisis has raised the question of how to overcome it and revive economic activity. The crisis caused a sharp decline in incomes of the population around the world, which led to social upheavals. Post-COVID economic revival in a globalized world has become the most important problem of our time. This book offers contributions of authors from different countries and explores problem solving in the fields of public administration (Volume I, Part I), financial services (Volume I, Part II), different branches (Volume II, Part III) and the social sector (Volume II, Part IV). The first volume discusses governmentality, public, and corporate management. The second part of the volume reveals the trends in the development of the financial sector in the post-COVID period. Despite the fact that the book is divided into two volumes and four parts, a holistic and systematic perception of the new reality of the post-COVID age can be obtained by reading the entire book. This book will be of interest to academics and practitioners in public administration and economics, particularly those who are interested in Post-COVID economic revival.
Product Details :
Genre |
: Business & Economics |
Author |
: Vladimir S. Osipov |
Publisher |
: Springer Nature |
Release |
: 2022-01-01 |
File |
: 409 Pages |
ISBN-13 |
: 9783030835613 |
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BOOK EXCERPT:
Product Details :
Genre |
: Electronic government information |
Author |
: United States. Congress. Senate. Committee on Banking, Housing, and Urban Affairs |
Publisher |
: |
Release |
: 2007 |
File |
: 96 Pages |
ISBN-13 |
: PSU:000061496293 |
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BOOK EXCERPT:
This collection of essays proposes improvements to the international financial system and evaluates the prospects that the recent conversion to global capitalism will be sustained.
Product Details :
Genre |
: Business & Economics |
Author |
: Ian Vásquez |
Publisher |
: Cato Institute |
Release |
: 2000 |
File |
: 312 Pages |
ISBN-13 |
: 1882577892 |
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BOOK EXCERPT:
The focus of international financial reform in recent years has largely been at the global level, in terms of improving the international financial architecture, and at the national level in terms of getting domestic economic and structural policies right. But there is also a growing appetite for addressing some issues at a regional level. This debate has focused on improving regional policy dialogue and surveillance processes, as well as developing regional mechanisms to provide financial support to prevent and resolve financial crises. In East Asia, for example, governments have sought deeper regional policy dialogue by the creation of ASEAN+3 forum and enhanced financial cooperation by setting up the Chiang Mai Initiative. These developments raise many questions: What is 'best-practice' regional policy dialogue? How is a regional financial architecture complementary to the global architecture? What sorts of institutions work well at a regional level? Do regions need a regional monetary fund? What is going on in East Asia and how is it different to other regions? This volume brings together a range of policy, practical and conceptual papers to explore these and other issues.
Product Details :
Genre |
: Social Science |
Author |
: Gordon De Brouwer |
Publisher |
: Routledge |
Release |
: 2004-08-02 |
File |
: 329 Pages |
ISBN-13 |
: 9781134351862 |
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BOOK EXCERPT:
The extraordinary crisis in the eurozone poses an unprecedented challenge to the integrity of the European Union (EU). The International Institutions and Global Governance (IIGG) program asked experts on both sides of the Atlantic to assess its immediate and long-term implications for the continent's political and economic future. We were particularly interested in its likely impact on the future of the "European project"; on the shape of the European economy; on the attractiveness of the EU model of European integration; and on the EU's future as a global player. As the authors explored these questions, several fascinating themes emerged.This collection includes responses from Mary Elise Sarotte, Kathleen R. McNamara, Charles A. Kupchan, Katinka Barysch, and Fraser Cameron.
Product Details :
Genre |
: Political Science |
Author |
: Stewart M. Patrick |
Publisher |
: Council on Foreign Relations |
Release |
: 2014-09-16 |
File |
: 31 Pages |
ISBN-13 |
: 9780876094969 |
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BOOK EXCERPT:
Seamlessly blending academic rigour and practicality, this textbook provides an introduction to global business strategy. Assuming a born global perspective, Global Strategic Management is supported by ample pedagogical features, including numerous case studies and examples featuring both established multinationals and unknown SMEs from across the globe. The book takes an applied approach to global business strategy, emphasising functional parts of international business (managing marketing, operations, HR and finance). The text has been widely updated to incorporate the impacts of the Covid-19 pandemic, such as work from anywhere and deglobalization. New to this fifth edition is increased material on sustainability and corporate social responsibility, including discussion of climate change, NGOs and sustainable development goals. Subjects such as the impact of technology, cryptocurrency and global strategy in the digital space are discussed in more detail, while the conflict in Ukraine is also considered.
Product Details :
Genre |
: Business & Economics |
Author |
: Philippe Lasserre |
Publisher |
: Bloomsbury Publishing |
Release |
: 2022-11-03 |
File |
: 689 Pages |
ISBN-13 |
: 9781350932975 |