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Regaining global stability after the financial crisis / Bruno S. Sergi, Filip Fidanoski, Magdalena Ziolo, and Vladimir Naumovski, editors.

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Format:
Book
Contributor:
Sergi, Bruno S.,., editor.
Fidanoski, Filip,. 1984- editor.
Ziolo, Magdalena,. 1976- editor.
Naumovski, Vladimir,., editor. .
Series:
Advances in finance, accounting, and economics (AFAE) book series.
Advances in Finance, Accounting, and Economics (AFAE) Book Series, 2327-5685
Language:
English
Subjects (All):
Economic stabilization--Developing countries.
Economic stabilization.
Economic policy--Developing countries.
Economic policy.
Financial institutions--Government policy--Developing countries.
Financial institutions.
Financial crises--Developing countries--Prevention.
Financial crises.
Physical Description:
27 PDFs (xxv, 383 pages)
Place of Publication:
Hershey, Pennsylvania : IGI Global, 2018.
System Details:
Mode of access: World Wide Web.
Summary:
"This book explores the intellectual answers to the problems in functioning of the present-day financial markets and institutions, states and governments. It explores the subjects of financial risk, financialization, moral hazard, macro, micro-prudential policy and public, economic and institutional policies as well toward financial stability"-- Provided by publisher.
Contents:
Section 1. Crisis vs. business transformation. Chapter 1. The business transformation and enterprise architecture framework: the financial engineering global strategy ; Chapter 2. The business transformation and enterprise architecture framework: the financial engineering technology concept ; Chapter 3. The business transformation and enterprise architecture framework: the financial engineering e-risk management and e-law integration
Section 2. Finance: stability and crisis. Chapter 4. Financial integration: crisis and economic development ; Chapter 5. Financial stability vs. sustainable development and its financing ; Chapter 6. Governance and institutions for stability and growth in the Eurozone
Section 3. Risk management in crisis era. Chapter 7. Importance of fiscal fundamentals for sovereign risk spread ; Chapter 8. Dynamic risk management of investment portfolio by futures contracts ; Chapter 9. Market challenges, risks, and policy: the attempts to regain global stability after the financial crisis
Section 4. Market towards crisis challenges. Chapter 10. Modern trends in capital flows in emerging markets ; Chapter 11. Stock market efficiency in South Eastern Europe: testing return predictability and calendar effects ; Chapter 12. Shocks in global economy: impulse model of macroeconomic cycle ; Chapter 13. Globalisation and the composition of the welfare state: evidence from OECD countries ; Chapter 14. Land, debt, and socialist market economy of China ; Chapter 15. Effects of foreign capital entry on the Macedonian banking industry: two-edged sword.
Notes:
Includes bibliographical references and index.
Description based on print version record.
ISBN:
9781522540274
152254027X
OCLC:
1028725162

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