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Understanding Financial Crises, Paperback by Allen, Franklin; Gale, Douglas, ...
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Numero oggetto eBay:365833978037
Specifiche dell'oggetto
- Condizione
- Book Title
- Understanding Financial Crises
- ISBN
- 9780199251421
Informazioni su questo prodotto
Product Information
What causes a financial crisis? Can financial crises be anticipated or even avoided? What can be done to lessen their impact? Should governments and international institutions intervene? Or should financial crises be left to run their course? In the aftermath of the recent Asian financial crisis, many blamed international institutions, corruption, governments, and flawed macro and microeconomic policies not only for causing the crisis but also unnecessarily lengthening and deepening it. Based on ten years of research, the authors develop a theoretical approach to analyzing financial crises. Beginning with a review of the history of financial crises and providing readers with the basic economic tools needed to understand the literature, the authors construct a series of increasingly sophisticated models. Throughout, the authors guide the reader through the existing theoretical and empirical literature while also building on their own theoretical approach. The text presents the modern theory of intermediation, introduces asset markets and the causes of asset price volatility, and discusses the interaction of banks and markets. The book also deals with more specialized topics, including optimal financial regulation, bubbles, and financial contagion.
Product Identifiers
Publisher
Oxford University Press, Incorporated
ISBN-10
0199251428
ISBN-13
9780199251421
eBay Product ID (ePID)
72409812
Product Key Features
Number of Pages
320 Pages
Publication Name
Understanding Financial Crises
Language
English
Subject
Economic History, Economics / General, Corporate Finance / General
Publication Year
2009
Type
Textbook
Subject Area
Business & Economics
Series
Clarendon Lectures in Finance Ser.
Format
Trade Paperback
Dimensions
Item Height
0.7 in
Item Weight
18.5 Oz
Item Length
9.2 in
Item Width
6.1 in
Additional Product Features
Intended Audience
Scholarly & Professional
Reviews
Review from previous edition: "Allen and Gale have been at the frontier of theoretical thinking about crises for over a decade ... a one-stop-shop for the many important contributions made to the theoretical modelling of financial crises by these two prominent authors" --Central Banking Vol 18 No 1, "This is, for me, the book's real selling point: it is accessible to a graduate level audience - indeed, would make an excellent lecture series - but at the same time easily contains enough state-of-the-art modelling to be of interest to the academic or policymaker." --Andrew G. Haldane, 'This is, for me, the book's real selling point: it is accessible to a graduate level audience - indeed, would make an excellent lecture series - but at the same time easily contains enough state-of-the-art modelling to be of interest to the academic or policymaker.'Andrew G. Haldane, 'Review from previous edition Allen and Gale have been at the frontier of theoretical thinking about crises for over a decade ... a one-stop-shop for the many important contributions made to the theoretical modelling of financial crises by these two prominent authors 'Central Banking Vol 18 No 1'This is, for me, the book's real selling point: it is accessible to a graduate level audience - indeed, would make an excellent lecture series - but at the same time easily contains enough state-of-the-art modelling to be of interest to the academic or policymaker. 'Andrew G. Haldane
Dewey Edition
22
Illustrated
Yes
Dewey Decimal
338.542
Lc Classification Number
Hb3722
Table of Content
1. History and institutions2. Time, uncertainty and liquidity3. Intermediation4. Asset markets5. Financial fragility6. Intermediation and markets7. Optimal regulation8. Money and the prices9. Bubbles and crises10. Contagion
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