The Global Financial Crisis
Herausgeber: Taylor, Mark; Clarida, Richard
The Global Financial Crisis
Herausgeber: Taylor, Mark; Clarida, Richard
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This book brings together a range of applied studies, covering a range of international and regional experience in the area of finance in the context of the global downturn. This book was published as a special issue of Applied Financial Economics.
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This book brings together a range of applied studies, covering a range of international and regional experience in the area of finance in the context of the global downturn. This book was published as a special issue of Applied Financial Economics.
Produktdetails
- Produktdetails
- Verlag: Taylor & Francis Ltd (Sales)
- Seitenzahl: 194
- Erscheinungstermin: 1. Oktober 2010
- Englisch
- Abmessung: 279mm x 216mm x 13mm
- Gewicht: 748g
- ISBN-13: 9780415589147
- ISBN-10: 0415589142
- Artikelnr.: 31387027
- Verlag: Taylor & Francis Ltd (Sales)
- Seitenzahl: 194
- Erscheinungstermin: 1. Oktober 2010
- Englisch
- Abmessung: 279mm x 216mm x 13mm
- Gewicht: 748g
- ISBN-13: 9780415589147
- ISBN-10: 0415589142
- Artikelnr.: 31387027
Mark P. Taylor, University of Warwick, UK. Richard H. Clarida, Columbia University, USA.
1. Introduction: The Global Financial Crisis: Introduction and Overview M.
P. Taylor 2. What were They Thinking? Reports from Interviews with Senior
Finance Executives in the Lead-Up to the GFC L. Coleman and S. Pinder 3.
How Did the Fed Do? An Empirical Assessment of the Fed's New Initiatives in
the Financial Crisis A. Mamun, M. K. Hassan and M. Johnson 4. The Put
Problem with Buying Toxic Assets L. Wilson 5. Global Financial Crisis and
US Interest Rate Swap Spreads T. Ito 6. Were there Warning Signals from
Banking Sectors for the 2008/2009 Global Financial Crisis? J. L. Simpson
7. Extreme Value Modelling for Forecasting Market Crisis Impacts X. Zhao,
C. Scarrott, L. Oxley and M. Reale 8. The Correlation Structure of FX
Option Markets Before and Since the Financial Crisis G. Chalamandaris and
A. E. Tsekrekos 9. Global Capital Market Interdependence and Spillover
Effect of Credit Risk: Evidence from the 2007-2009 Global financial crisis
W. Cheung, S. Fung and S.-C. Tsai 10. A simple model of trading and Pricing
Risky Assets Under Ambiguity: Any Lessons for Policymakers? M. Guidolin
and F. Rinaldi 11. Comparing the Performance of Relative Stock Return
Differential and Real Exchange Rate in Two Financial Crises D. K. T. Wong
and K.-W. Li 12. Permanent and Transitory Dynamics in House Prices and
Consumption: Some Implications for the Real Effects of the Financial Crisis
F. C. Bagliano and C. Morana 13. Another Consequence of the Economic
Crisis: A Decrease in Migrants' Remittances I. Ruiz and C. Vargas-Silva
P. Taylor 2. What were They Thinking? Reports from Interviews with Senior
Finance Executives in the Lead-Up to the GFC L. Coleman and S. Pinder 3.
How Did the Fed Do? An Empirical Assessment of the Fed's New Initiatives in
the Financial Crisis A. Mamun, M. K. Hassan and M. Johnson 4. The Put
Problem with Buying Toxic Assets L. Wilson 5. Global Financial Crisis and
US Interest Rate Swap Spreads T. Ito 6. Were there Warning Signals from
Banking Sectors for the 2008/2009 Global Financial Crisis? J. L. Simpson
7. Extreme Value Modelling for Forecasting Market Crisis Impacts X. Zhao,
C. Scarrott, L. Oxley and M. Reale 8. The Correlation Structure of FX
Option Markets Before and Since the Financial Crisis G. Chalamandaris and
A. E. Tsekrekos 9. Global Capital Market Interdependence and Spillover
Effect of Credit Risk: Evidence from the 2007-2009 Global financial crisis
W. Cheung, S. Fung and S.-C. Tsai 10. A simple model of trading and Pricing
Risky Assets Under Ambiguity: Any Lessons for Policymakers? M. Guidolin
and F. Rinaldi 11. Comparing the Performance of Relative Stock Return
Differential and Real Exchange Rate in Two Financial Crises D. K. T. Wong
and K.-W. Li 12. Permanent and Transitory Dynamics in House Prices and
Consumption: Some Implications for the Real Effects of the Financial Crisis
F. C. Bagliano and C. Morana 13. Another Consequence of the Economic
Crisis: A Decrease in Migrants' Remittances I. Ruiz and C. Vargas-Silva
1. Introduction: The Global Financial Crisis: Introduction and Overview M.
P. Taylor 2. What were They Thinking? Reports from Interviews with Senior
Finance Executives in the Lead-Up to the GFC L. Coleman and S. Pinder 3.
How Did the Fed Do? An Empirical Assessment of the Fed's New Initiatives in
the Financial Crisis A. Mamun, M. K. Hassan and M. Johnson 4. The Put
Problem with Buying Toxic Assets L. Wilson 5. Global Financial Crisis and
US Interest Rate Swap Spreads T. Ito 6. Were there Warning Signals from
Banking Sectors for the 2008/2009 Global Financial Crisis? J. L. Simpson
7. Extreme Value Modelling for Forecasting Market Crisis Impacts X. Zhao,
C. Scarrott, L. Oxley and M. Reale 8. The Correlation Structure of FX
Option Markets Before and Since the Financial Crisis G. Chalamandaris and
A. E. Tsekrekos 9. Global Capital Market Interdependence and Spillover
Effect of Credit Risk: Evidence from the 2007-2009 Global financial crisis
W. Cheung, S. Fung and S.-C. Tsai 10. A simple model of trading and Pricing
Risky Assets Under Ambiguity: Any Lessons for Policymakers? M. Guidolin
and F. Rinaldi 11. Comparing the Performance of Relative Stock Return
Differential and Real Exchange Rate in Two Financial Crises D. K. T. Wong
and K.-W. Li 12. Permanent and Transitory Dynamics in House Prices and
Consumption: Some Implications for the Real Effects of the Financial Crisis
F. C. Bagliano and C. Morana 13. Another Consequence of the Economic
Crisis: A Decrease in Migrants' Remittances I. Ruiz and C. Vargas-Silva
P. Taylor 2. What were They Thinking? Reports from Interviews with Senior
Finance Executives in the Lead-Up to the GFC L. Coleman and S. Pinder 3.
How Did the Fed Do? An Empirical Assessment of the Fed's New Initiatives in
the Financial Crisis A. Mamun, M. K. Hassan and M. Johnson 4. The Put
Problem with Buying Toxic Assets L. Wilson 5. Global Financial Crisis and
US Interest Rate Swap Spreads T. Ito 6. Were there Warning Signals from
Banking Sectors for the 2008/2009 Global Financial Crisis? J. L. Simpson
7. Extreme Value Modelling for Forecasting Market Crisis Impacts X. Zhao,
C. Scarrott, L. Oxley and M. Reale 8. The Correlation Structure of FX
Option Markets Before and Since the Financial Crisis G. Chalamandaris and
A. E. Tsekrekos 9. Global Capital Market Interdependence and Spillover
Effect of Credit Risk: Evidence from the 2007-2009 Global financial crisis
W. Cheung, S. Fung and S.-C. Tsai 10. A simple model of trading and Pricing
Risky Assets Under Ambiguity: Any Lessons for Policymakers? M. Guidolin
and F. Rinaldi 11. Comparing the Performance of Relative Stock Return
Differential and Real Exchange Rate in Two Financial Crises D. K. T. Wong
and K.-W. Li 12. Permanent and Transitory Dynamics in House Prices and
Consumption: Some Implications for the Real Effects of the Financial Crisis
F. C. Bagliano and C. Morana 13. Another Consequence of the Economic
Crisis: A Decrease in Migrants' Remittances I. Ruiz and C. Vargas-Silva