Managing Economic Volatility and Crises
A Practitioner's Guide
Herausgeber: Aizenman, Joshua; Pinto, Brian
Managing Economic Volatility and Crises
A Practitioner's Guide
Herausgeber: Aizenman, Joshua; Pinto, Brian
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This collection explores the phenomenon of economic volatility, which studies show had adverse effects on long-run growth.
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This collection explores the phenomenon of economic volatility, which studies show had adverse effects on long-run growth.
Hinweis: Dieser Artikel kann nur an eine deutsche Lieferadresse ausgeliefert werden.
Hinweis: Dieser Artikel kann nur an eine deutsche Lieferadresse ausgeliefert werden.
Produktdetails
- Produktdetails
- Verlag: Cambridge University Press
- Seitenzahl: 614
- Erscheinungstermin: 18. August 2010
- Englisch
- Abmessung: 229mm x 152mm x 36mm
- Gewicht: 983g
- ISBN-13: 9780521168595
- ISBN-10: 0521168597
- Artikelnr.: 31970232
- Herstellerkennzeichnung
- Books on Demand GmbH
- In de Tarpen 42
- 22848 Norderstedt
- info@bod.de
- 040 53433511
- Verlag: Cambridge University Press
- Seitenzahl: 614
- Erscheinungstermin: 18. August 2010
- Englisch
- Abmessung: 229mm x 152mm x 36mm
- Gewicht: 983g
- ISBN-13: 9780521168595
- ISBN-10: 0521168597
- Artikelnr.: 31970232
- Herstellerkennzeichnung
- Books on Demand GmbH
- In de Tarpen 42
- 22848 Norderstedt
- info@bod.de
- 040 53433511
Contributors
Acknowledgements
Foreword
Overview Joshua Aizenman and Brian Pinto
Part I. What Is Volatility and Why Does It Matter?: 1. Volatility: definitions and consequences Holger Wolf
2. Volatility and growth Viktoria Hnatkovska and Norman Loayza
3. Volatility, income distribution, and poverty Thomas Laursen and Sandeep Mahajan
Part II. Commodity Prices and Volatility: 4. Agricultural commodity price volatility Jan Dehn, Christopher Gilbert, and Panos Varangis
5. Managing oil booms and busts in developing countries Julia Devlin and Michael Lewin
Part III. Finance and Volatility: 6. Finance and volatility Stijn Claessens
7. Evaluating pricing signals from the bond markets John J. Merrick, Jr
Part IV. Managing Crises: 8. Managing macroeconomic crises: policy lessons Jeffrey Frankel and Shang-Jin Wei
9. Lessons from the Russian crisis of 1998 and recovery Brian Pinto, Evsey Gurvich, and Sergei Ulatov
10. Argentina's macroeconomic collapse: causes and lessons Luis Servén and Guillermo Perry
11. Default episodes in the 1980s and 1990s: what have we learned? Punam Chuhan and Federico Sturzenegger
Technical appendix Viktoria Hnatkovska
Index.
Acknowledgements
Foreword
Overview Joshua Aizenman and Brian Pinto
Part I. What Is Volatility and Why Does It Matter?: 1. Volatility: definitions and consequences Holger Wolf
2. Volatility and growth Viktoria Hnatkovska and Norman Loayza
3. Volatility, income distribution, and poverty Thomas Laursen and Sandeep Mahajan
Part II. Commodity Prices and Volatility: 4. Agricultural commodity price volatility Jan Dehn, Christopher Gilbert, and Panos Varangis
5. Managing oil booms and busts in developing countries Julia Devlin and Michael Lewin
Part III. Finance and Volatility: 6. Finance and volatility Stijn Claessens
7. Evaluating pricing signals from the bond markets John J. Merrick, Jr
Part IV. Managing Crises: 8. Managing macroeconomic crises: policy lessons Jeffrey Frankel and Shang-Jin Wei
9. Lessons from the Russian crisis of 1998 and recovery Brian Pinto, Evsey Gurvich, and Sergei Ulatov
10. Argentina's macroeconomic collapse: causes and lessons Luis Servén and Guillermo Perry
11. Default episodes in the 1980s and 1990s: what have we learned? Punam Chuhan and Federico Sturzenegger
Technical appendix Viktoria Hnatkovska
Index.
Contributors
Acknowledgements
Foreword
Overview Joshua Aizenman and Brian Pinto
Part I. What Is Volatility and Why Does It Matter?: 1. Volatility: definitions and consequences Holger Wolf
2. Volatility and growth Viktoria Hnatkovska and Norman Loayza
3. Volatility, income distribution, and poverty Thomas Laursen and Sandeep Mahajan
Part II. Commodity Prices and Volatility: 4. Agricultural commodity price volatility Jan Dehn, Christopher Gilbert, and Panos Varangis
5. Managing oil booms and busts in developing countries Julia Devlin and Michael Lewin
Part III. Finance and Volatility: 6. Finance and volatility Stijn Claessens
7. Evaluating pricing signals from the bond markets John J. Merrick, Jr
Part IV. Managing Crises: 8. Managing macroeconomic crises: policy lessons Jeffrey Frankel and Shang-Jin Wei
9. Lessons from the Russian crisis of 1998 and recovery Brian Pinto, Evsey Gurvich, and Sergei Ulatov
10. Argentina's macroeconomic collapse: causes and lessons Luis Servén and Guillermo Perry
11. Default episodes in the 1980s and 1990s: what have we learned? Punam Chuhan and Federico Sturzenegger
Technical appendix Viktoria Hnatkovska
Index.
Acknowledgements
Foreword
Overview Joshua Aizenman and Brian Pinto
Part I. What Is Volatility and Why Does It Matter?: 1. Volatility: definitions and consequences Holger Wolf
2. Volatility and growth Viktoria Hnatkovska and Norman Loayza
3. Volatility, income distribution, and poverty Thomas Laursen and Sandeep Mahajan
Part II. Commodity Prices and Volatility: 4. Agricultural commodity price volatility Jan Dehn, Christopher Gilbert, and Panos Varangis
5. Managing oil booms and busts in developing countries Julia Devlin and Michael Lewin
Part III. Finance and Volatility: 6. Finance and volatility Stijn Claessens
7. Evaluating pricing signals from the bond markets John J. Merrick, Jr
Part IV. Managing Crises: 8. Managing macroeconomic crises: policy lessons Jeffrey Frankel and Shang-Jin Wei
9. Lessons from the Russian crisis of 1998 and recovery Brian Pinto, Evsey Gurvich, and Sergei Ulatov
10. Argentina's macroeconomic collapse: causes and lessons Luis Servén and Guillermo Perry
11. Default episodes in the 1980s and 1990s: what have we learned? Punam Chuhan and Federico Sturzenegger
Technical appendix Viktoria Hnatkovska
Index.