Regaining Global Stability After the Financial Crisis

Regaining Global Stability After the Financial Crisis
Author: Sergi, Bruno,Fidanoski, Filip,Ziolo, Magdalena,Naumovski, Vladimir
Publsiher: IGI Global
Total Pages: 383
Release: 2018-04-06
Genre: Business & Economics
ISBN: 9781522540274

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The prosperity and stability of any economic structure is reliant upon a foundation of secure systems that regulate the movement of money across the globe. These structures have become an integral part of contemporary society by reducing monetary risk and increasing financial security. Regaining Global Stability After the Financial Crisis is a critical scholarly publication that examines the after-effects of the economic slowdown and the steps that have been taken to overcome the consequences of the slowdown as well as strategies to reduce its impact on economies and societies. Highlighting a wide range of topics including economic convergence, risk management, and public policy for financial stability, this book is geared toward academicians, practitioners, students, managers, and professionals in the financial sector seeking current research on regaining a sense of safety and security after a time of economic crisis.

International Financial Integration

International Financial Integration
Author: Lars Oxelheim
Publsiher: Springer Science & Business Media
Total Pages: 404
Release: 2012-12-06
Genre: Business & Economics
ISBN: 9783642612930

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There is widespread agreement in the current social and economic debate that the nations of the world are becoming increasingly integrated. Many structural signs in society also suggest that this is so. Integration has become a catchword in the prepara tions for the internal market of the EC, and a keynote in the debate about association for the European countries which do not belong to the Community. But when we turn to the question of how this integration should be measured, there is very little con sensus. Instead there are numerous problems, not only about how to measure integra tion but even about how to define it. In this book I shall discuss the import and implications of a particular type of integration, namely financial integration, and then look at the most important problems connected with measuring it. In the empirical investigation reported below I felt the need for an integrated micro-macro approach. Further, I decided to illustrate the measurement problems by studying a small and relatively open economy where exchange controls have been imposed by the government in an attempt to reduce the flow of interest-sensitive capital out of the country, and thus to acquire autonomy for the national monetary policy. An interview study has been carried out with a view to illustrating among other things how expectations are formed among the major actors on the financial market, and this provided additional input for an analysis of the level of financial integration.

Financial Integration in the European Monetary Union

Financial Integration in the European Monetary Union
Author: Sławomir Ireneusz Bukowski
Publsiher: Routledge
Total Pages: 126
Release: 2019-11-21
Genre: Business & Economics
ISBN: 9780429575617

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This book introduces readers to the world of international financial markets and their integration on a global and regional scale. The author presents the theoretical and practical issues concerning the processes of financial market integration, with a particular focus on the monetary union. The empirical research results are based on econometric modeling, thus simplifying them for a non-specialist audience, who can instead concentrate on the author’s conclusions, which comprise the results of these complicated research methods. The author outlines the role and functions of financial markets in the economy, in particular the relationship between financial intermediaries and financial markets and tackles the question of integration of new EU member countries’ financial markets within the eurozone. The integration of financial markets in an international context is inevitable, and the author argues that we must learn how to benefit from it from in terms of economic growth. This book will be a valuable resource for students of economics and finance, particularly those studying financial management and international business and finance, as well as professionals in these fields. Further, this book will be of interest to anyone looking to discover more about the problems of globalization and the integration of financial markets into the modern economy.

Economic and Financial Integration in South Asia

Economic and Financial Integration in South Asia
Author: Sanjay Sehgal,Wasim Ahmad,Piyush Pandey,Sakshi Saini
Publsiher: Taylor & Francis
Total Pages: 199
Release: 2020-10-25
Genre: Business & Economics
ISBN: 9781000202793

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This book analyses the current state and potential of economic and financial integration in South Asia, which has emerged as one of the most dynamic regions of the world. It looks at how regional convergences and cooperation would reinforce ties amongst the diverse economies of South Asia in the changing global economic landscape. Drawing on empirical research, the book looks at the degree of economic and financial integration in South Asia, which according to the World Bank includes the least integrated regions in the world, and explores the fundamental factors that drive integration amongst these countries. It offers important insights into the financial landscape of the region, as well as the dynamics of the interlinkages in the banking system, the stock markets, and the debt markets. The book examines the role of bilateral trade in augmenting regional economic ties, the opportunities for growth these will foster, and the major challenges and roadblocks for the leaders of the region. It also provides an overview of China’s role in South Asia’s financial integration and the interdependence of these economies for economic opportunities, macroeconomic and financial stability, jobs, sustainable growth, and inclusive development. Detailed and insightful, this book will be of great interest to investors and regional policymakers. It will also be of interest to researchers and students of economics, public and foreign policy, finance, international relations, and South Asia studies.

Global Financial Integration

Global Financial Integration
Author: Richard O'Brien
Publsiher: Unknown
Total Pages: 138
Release: 1992
Genre: Business & Economics
ISBN: UOM:35128001303278

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The Gains and Pains of Financial Integration and Trade Liberalization

The Gains and Pains of Financial Integration and Trade Liberalization
Author: Rajib Bhattacharyya
Publsiher: Emerald Group Publishing
Total Pages: 201
Release: 2019-11-26
Genre: Business & Economics
ISBN: 9781838670061

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Geared towards policy makers, researchers, academics, and business and management professionals, The Gains and Pains of Financial Integration and Trade Liberalization helps readers develop new theories and models for analysing the future trends in finance and trade-related issues.

Financial Integration and Real Activity

Financial Integration and Real Activity
Author: Tamim A. Bayoumi
Publsiher: Manchester University Press
Total Pages: 198
Release: 1997
Genre: Business & Economics
ISBN: 0719047005

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If history matters for understanding key development outcomes then surely historians should be active contributors to the debates informing these understandings. This volume integrates, for the first time, contributions from ten leading historians and seven policy advisors around the central development issues of social protection, public health, public education and natural resource management. How did certain ideas, and not others, gain traction in shaping particular policy responses? How did the content and effectiveness of these responses vary across different countries, and indeed within them? Achieving this is not merely a matter of seeking to 'know more' about specific times, places and issues, but recognising the distinctive ways in which historians rigorously assemble, analyse and interpret diverse forms of evidence. This book will appeal to students and scholars in development studies, history, international relations, politics and geography as well as policy makers and those working for or studying NGOs.

Handbook of Financial Integration

Handbook of Financial Integration
Author: Guglielmo M. Caporale
Publsiher: Edward Elgar Publishing
Total Pages: 683
Release: 2024-05-02
Genre: Business & Economics
ISBN: 9781803926377

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This comprehensive Handbook deftly examines key aspects of financial integration, providing an overview of contemporary research and new perspectives. Employing state of the art econometric methods to obtain new empirical evidence, it will be critical for designing optimal policies, and appropriate investment and risk management strategies.