Doprava zdarma se Zásilkovnou nad 1 299 Kč
PPL Parcel Shop 54 Balík do ruky 74 Balíkovna 49 GLS 54 Kurýr GLS 64 Zásilkovna 44 PPL 99

Debt, Financial Fragility, and Systemic Risk

Jazyk AngličtinaAngličtina
Kniha Brožovaná
Kniha Debt, Financial Fragility, and Systemic Risk E.P. Davis
Libristo kód: 04523567
Nakladatelství Oxford University Press, října 1995
A remarkable feature of the period since 1970 has been the patterns of rapid and turbulent change in... Celý popis
? points 244 b
2 437
U nakladatele na objednávku Odesíláme za 17-26 dnů

30 dní na vrácení zboží


Mohlo by vás také zajímat


Memoirs Of An Imaginary Friend Matthew Green / Brožovaná
common.buy 258
Authority without Territory Daryoush Mohammad Poor / Pevná
common.buy 3 313
Numerical Analysis and Optimization Gregoire Allaire / Brožovaná
common.buy 2 647
Paleo Slow Cooker Bible Amelia Simons / Pevná
common.buy 502
Social Movements and Networks Mario Diani / Brožovaná
common.buy 2 125
Rethinking Growth Walter R. J. Baets / Pevná
common.buy 3 313

A remarkable feature of the period since 1970 has been the patterns of rapid and turbulent change in financing behaviour and financial structure in many advanced countries. These patterns have, in turn, often been marked by rising indebtedness, default on loans and periods of financial instability, whether in the non-financial sectors, the financial sector or both. This book explores, both in theoretical and empirical terms, the nature of the relationships between underlying phenomena; namely levels and changes in borrowing (debt), vulnerability to default in the corporate and household sectors (financial fragility), and widespread disorder in the financial sector (systemic risk). Davis focuses on the wider generality of the phenomena at issue whereby similar patterns are observable in several countries, but not in others, as well as in the international capital markets themselves. Particular attention is paid to the importance of the nature and evolution of financial structure to the genesis of instability. Given the international scope of the analysis, the work is germane to the study of the devlopment of financial systems in all advanced countries, as well as the euromarkets. It will be of particular relevance, however, in the US, Japan, Germany, France, the UK, and Canada, Italy, Australia, Sweden, Norway, Finland, whose experience is examined in detail. In this expanded and revised edition, the macroeconomic consequences of fragility and the appropriate policy response are examined in particular detail, with the analysis focusing on macroeconomic performance in eleven countries over 1988-93. A wide range of issues relating to financial stability, including risk in payments systems, derivatives, and property lending, are also considered.

Informace o knize

Plný název Debt, Financial Fragility, and Systemic Risk
Autor E.P. Davis
Jazyk Angličtina
Vazba Kniha - Brožovaná
Datum vydání 1995
Počet stran 404
EAN 9780198233312
ISBN 0198233310
Libristo kód 04523567
Nakladatelství Oxford University Press
Váha 632
Rozměry 154 x 233 x 25
Darujte tuto knihu ještě dnes
Je to snadné
1 Přidejte knihu do košíku a zvolte doručit jako dárek 2 Obratem vám zašleme poukaz 3 Kniha dorazí na adresu obdarovaného

Přihlášení

Přihlaste se ke svému účtu. Ještě nemáte Libristo účet? Vytvořte si ho nyní!

 
povinné
povinné

Nemáte účet? Získejte výhody Libristo účtu!

Díky Libristo účtu budete mít vše pod kontrolou.

Vytvořit Libristo účet