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e-Book Financial Markets and Financial Fragility (Elgar Mini Series) download

e-Book Financial Markets and Financial Fragility (Elgar Mini Series) download

by Jan Toporowski

ISBN: 1848440979
ISBN13: 978-1848440975
Language: English
Publisher: Edward Elgar Publishing - MASSACHUSETTS (August 1, 2010)
Pages: 1008
Category: Accounting
Subategory: Work and Money

ePub size: 1649 kb
Fb2 size: 1902 kb
DJVU size: 1324 kb
Rating: 4.8
Votes: 488
Other Formats: docx lit azw mobi

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The volumes cover the recent central bank discussions about financial fragility and models simulating financial fragility.

Academics specialising in banking and financial economics will find conveniently in two volumes the . Jan Toporowski (e., 2010. Financial Markets and Financial Fragility," Books, Edward Elgar Publishing, volume 0, number 13284. Handle: RePEc:elg:eebook:13284.

Jan Toporowski (e.

It covers the recent central bank discussions about financial fragility and models simulating financial fragility.

Jan Toporowski, Professor of Economics and Finance and Chair, Economics Department, the School of Oriental and African Studies, University of London, UK.

Hardcover: 176 pages. This item: The Economics of Financial Markets and the 1987 Crash.

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David Mayes, Jan Toporowski. bankers recent experience of open market operations. With broad international appeal it includes discussions of central bank operations in Europe, North America, Australia and Japan. monetary and financial economists on the impact of monetary policy on the yield curve.

These authoritative volumes present the most important published work on the theory and incidence of financial fragility in the financial markets, and policy for dealing with fragility. The volumes cover the recent central bank discussions about financial fragility and models simulating financial fragility. Contents include the key historical contributions that have formed our current understanding of how it arises in the financial markets and the consequences for the economy at large, and for the way in which credit operates in society. These volumes are a key resource for policymakers, central bankers and senior executives in banking and finance who need to extend their understanding of financial fragility and develop instruments for managing such difficulties. Academics specialising in banking and financial economics will find conveniently in two volumes the essential research materials dealing with the pathology of credit markets.
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