Foreign Exchange Issues, Capital Markets and International Banking in the 1990s (RLE Banking & Finance) (eBook, ePUB)
Redaktion: Fatemi, Khosrow; Salvatore, Dominick
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Foreign Exchange Issues, Capital Markets and International Banking in the 1990s (RLE Banking & Finance) (eBook, ePUB)
Redaktion: Fatemi, Khosrow; Salvatore, Dominick
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The need for continued analysis and evaluation of the international financial system is as pressing now as it was when this book was originally published. This volume provides an in-depth analysis of certain aspects of the international financial system. Specifically it addresses four of the most important financial and monetary issues of the present time: exchange rate, capital markets, international banking and external debt and international financial management.
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The need for continued analysis and evaluation of the international financial system is as pressing now as it was when this book was originally published. This volume provides an in-depth analysis of certain aspects of the international financial system. Specifically it addresses four of the most important financial and monetary issues of the present time: exchange rate, capital markets, international banking and external debt and international financial management.
Dieser Download kann aus rechtlichen Gründen nur mit Rechnungsadresse in A, B, BG, CY, CZ, D, DK, EW, E, FIN, F, GR, HR, H, IRL, I, LT, L, LR, M, NL, PL, P, R, S, SLO, SK ausgeliefert werden.
Produktdetails
- Produktdetails
- Verlag: Taylor & Francis
- Seitenzahl: 294
- Erscheinungstermin: 12. Oktober 2012
- Englisch
- ISBN-13: 9781136267444
- Artikelnr.: 38256437
- Verlag: Taylor & Francis
- Seitenzahl: 294
- Erscheinungstermin: 12. Oktober 2012
- Englisch
- ISBN-13: 9781136267444
- Artikelnr.: 38256437
- Herstellerkennzeichnung Die Herstellerinformationen sind derzeit nicht verfügbar.
Multivolume collection by leading authors in the field
Preface. 1. Introduction. Part 1: Foreign Exchange rules. 2. Diversified
Expectations and Speculation in the Foreign Exchange Market. 3. Pricing
Options on a Constrained Currency Index: Some Simulation Results. 4.
Exchange Rate Variations and U.S.Multinational Corporations' Profits: The
Case of the 1980s. 5. Real Exchange Rate and the Sectoral Composition of
Output: Some Evidence from Japan. 6. Time-Varying Risk Premia and the
Efficiency of the New Zealand Foreign Exchange Market 7. European Monetary
Integration: Theoretical Issues and Practical Implementations. Part 2:
Capital Markets 8. Optimal Leverage of a Dynamically Competitive Firm 9. Is
Diversification in International Capital markets Beneficial? Issues,
Evidence and Prospects. 10. International Co-movements of Capital Markets:
Evidence from Two Scandinavian Stock Markets. 11. Defeased Debt in
International Capital Markets: Benefits and Problems. 12. Deregulation of
Financial Institutions: Lessons from the North American Experience with
Savings and Loan Associations. 13. The 'Round-Tripping' Effect of
Debt-Equity Swaps 14. Emerging Capital Markets and Economic Development
Part 3: International Financial Management. 15. Conditional
Heteroskedasticity in Stock Returns: International Evidence 16. Effects of
Monetary Gains and Losses on the Univariate Time-Series Characteristics of
CDA Earnings. 17. Survival Analysis of Business Failures 18. Stakeholder
Objectives and Government Incentives in East European Joint Ventures. David
C Bangert. Part 4: International Banking and External Debt. 19. Export
Earnings Indexed Debt: Risk-Reduction and Linking External Debt to Exports
20. The International Finance Corporation and Banks: IFC Syndications of
its LDC Investments. 21. Some Issues in External Debt, Domestic Policies
and Economic Development 22 MIGA: A New Kid on the Block. Index.
Expectations and Speculation in the Foreign Exchange Market. 3. Pricing
Options on a Constrained Currency Index: Some Simulation Results. 4.
Exchange Rate Variations and U.S.Multinational Corporations' Profits: The
Case of the 1980s. 5. Real Exchange Rate and the Sectoral Composition of
Output: Some Evidence from Japan. 6. Time-Varying Risk Premia and the
Efficiency of the New Zealand Foreign Exchange Market 7. European Monetary
Integration: Theoretical Issues and Practical Implementations. Part 2:
Capital Markets 8. Optimal Leverage of a Dynamically Competitive Firm 9. Is
Diversification in International Capital markets Beneficial? Issues,
Evidence and Prospects. 10. International Co-movements of Capital Markets:
Evidence from Two Scandinavian Stock Markets. 11. Defeased Debt in
International Capital Markets: Benefits and Problems. 12. Deregulation of
Financial Institutions: Lessons from the North American Experience with
Savings and Loan Associations. 13. The 'Round-Tripping' Effect of
Debt-Equity Swaps 14. Emerging Capital Markets and Economic Development
Part 3: International Financial Management. 15. Conditional
Heteroskedasticity in Stock Returns: International Evidence 16. Effects of
Monetary Gains and Losses on the Univariate Time-Series Characteristics of
CDA Earnings. 17. Survival Analysis of Business Failures 18. Stakeholder
Objectives and Government Incentives in East European Joint Ventures. David
C Bangert. Part 4: International Banking and External Debt. 19. Export
Earnings Indexed Debt: Risk-Reduction and Linking External Debt to Exports
20. The International Finance Corporation and Banks: IFC Syndications of
its LDC Investments. 21. Some Issues in External Debt, Domestic Policies
and Economic Development 22 MIGA: A New Kid on the Block. Index.
Preface. 1. Introduction. Part 1: Foreign Exchange rules. 2. Diversified
Expectations and Speculation in the Foreign Exchange Market. 3. Pricing
Options on a Constrained Currency Index: Some Simulation Results. 4.
Exchange Rate Variations and U.S.Multinational Corporations' Profits: The
Case of the 1980s. 5. Real Exchange Rate and the Sectoral Composition of
Output: Some Evidence from Japan. 6. Time-Varying Risk Premia and the
Efficiency of the New Zealand Foreign Exchange Market 7. European Monetary
Integration: Theoretical Issues and Practical Implementations. Part 2:
Capital Markets 8. Optimal Leverage of a Dynamically Competitive Firm 9. Is
Diversification in International Capital markets Beneficial? Issues,
Evidence and Prospects. 10. International Co-movements of Capital Markets:
Evidence from Two Scandinavian Stock Markets. 11. Defeased Debt in
International Capital Markets: Benefits and Problems. 12. Deregulation of
Financial Institutions: Lessons from the North American Experience with
Savings and Loan Associations. 13. The 'Round-Tripping' Effect of
Debt-Equity Swaps 14. Emerging Capital Markets and Economic Development
Part 3: International Financial Management. 15. Conditional
Heteroskedasticity in Stock Returns: International Evidence 16. Effects of
Monetary Gains and Losses on the Univariate Time-Series Characteristics of
CDA Earnings. 17. Survival Analysis of Business Failures 18. Stakeholder
Objectives and Government Incentives in East European Joint Ventures. David
C Bangert. Part 4: International Banking and External Debt. 19. Export
Earnings Indexed Debt: Risk-Reduction and Linking External Debt to Exports
20. The International Finance Corporation and Banks: IFC Syndications of
its LDC Investments. 21. Some Issues in External Debt, Domestic Policies
and Economic Development 22 MIGA: A New Kid on the Block. Index.
Expectations and Speculation in the Foreign Exchange Market. 3. Pricing
Options on a Constrained Currency Index: Some Simulation Results. 4.
Exchange Rate Variations and U.S.Multinational Corporations' Profits: The
Case of the 1980s. 5. Real Exchange Rate and the Sectoral Composition of
Output: Some Evidence from Japan. 6. Time-Varying Risk Premia and the
Efficiency of the New Zealand Foreign Exchange Market 7. European Monetary
Integration: Theoretical Issues and Practical Implementations. Part 2:
Capital Markets 8. Optimal Leverage of a Dynamically Competitive Firm 9. Is
Diversification in International Capital markets Beneficial? Issues,
Evidence and Prospects. 10. International Co-movements of Capital Markets:
Evidence from Two Scandinavian Stock Markets. 11. Defeased Debt in
International Capital Markets: Benefits and Problems. 12. Deregulation of
Financial Institutions: Lessons from the North American Experience with
Savings and Loan Associations. 13. The 'Round-Tripping' Effect of
Debt-Equity Swaps 14. Emerging Capital Markets and Economic Development
Part 3: International Financial Management. 15. Conditional
Heteroskedasticity in Stock Returns: International Evidence 16. Effects of
Monetary Gains and Losses on the Univariate Time-Series Characteristics of
CDA Earnings. 17. Survival Analysis of Business Failures 18. Stakeholder
Objectives and Government Incentives in East European Joint Ventures. David
C Bangert. Part 4: International Banking and External Debt. 19. Export
Earnings Indexed Debt: Risk-Reduction and Linking External Debt to Exports
20. The International Finance Corporation and Banks: IFC Syndications of
its LDC Investments. 21. Some Issues in External Debt, Domestic Policies
and Economic Development 22 MIGA: A New Kid on the Block. Index.