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Transition and Growth in Post-Communist Countries documents the
first ten years of economic transition in Central and Eastern
Europe. It examines economic growth, stabilization policies and the
reformation of social safety nets in the formerly communist
countries. The analysis is presented by prominent architects of the
economic transition who have been directly involved in both
designing and implementing the programme of economic reforms. Using
theoretical and empirical analyses the volume concludes that the
countries which have successfully implemented major programmes of
macroeconomic stabilization and institutional restructuring have
experienced a much faster growth of national income and wealth than
the non-reformers. This authoritative volume will be compelling
reading to those interested in emerging market economies, the
economics of transition, and international political economy.
Researchers, lecturers and students of international macroeconomics
and international political relations will also find the book
useful.
This volume continues to highlight the latest research
contributions presented at the annual Wroclaw conference in Finance
(Poland), covering a wide range of topics in the field. The
chapters reflect the extent, diversity, and richness of research
areas, and discuss both fundamental and applied finance. A detailed
analysis of current financial-market problems including specifics
of Polish and Central European markets is also part of this volume.
Selected chapters also examine the results of advanced financial
modeling. These proceedings are a valuable resource for researchers
in universities and research and policy institutions, graduate
students and practitioners in economics, finance and international
economics in both private and government institutions.
This volume continues to highlight the latest research
contributions presented at the annual Wroclaw conference in Finance
(Poland), covering a wide range of topics in the field. The
chapters reflect the extent, diversity, and richness of research
areas, and discuss both fundamental and applied finance. A detailed
analysis of current financial-market problems including specifics
of Polish and Central European markets is also part of this volume.
Selected chapters also examine the results of advanced financial
modeling. These proceedings are a valuable resource for researchers
in universities and research and policy institutions, graduate
students and practitioners in economics, finance and international
economics in both private and government institutions.
This volume features a selection of contributions presented at the
2019 Wroclaw Conference in Finance, covering a wide range of topics
in finance and financial economics, e.g. financial markets;
monetary policy; corporate, personal and public finance; and risk
management and insurance. Reflecting the diversity and richness of
research in the field, the papers discuss both fundamental and
applied finance, and offer a detailed analysis of current
financial-market problems, including specifics of the Polish and
Central European markets. They also examine the results of advanced
financial modeling. Accordingly, the proceedings offer a valuable
resource for researchers at universities and policy institutions,
as well as graduate students and practitioners in economics and
finance at both private and government organizations.
This volume features a selection of contributions presented at the
2019 Wroclaw Conference in Finance, covering a wide range of topics
in finance and financial economics, e.g. financial markets;
monetary policy; corporate, personal and public finance; and risk
management and insurance. Reflecting the diversity and richness of
research in the field, the papers discuss both fundamental and
applied finance, and offer a detailed analysis of current
financial-market problems, including specifics of the Polish and
Central European markets. They also examine the results of advanced
financial modeling. Accordingly, the proceedings offer a valuable
resource for researchers at universities and policy institutions,
as well as graduate students and practitioners in economics and
finance at both private and government organizations.
This volume includes a selection of the contributions presented at
the Wroclaw conference in Finance, covering a wide range of topics
in the area of finance. The articles reflect the extent, diversity
and richness of research areas in the field. Discussing both
fundamental and applied finance, it offers a detailed analysis of
current financial-market problems including specifics of Polish and
Central European markets. It also examines the results of advanced
financial modeling. These proceedings are a valuable resource for
researchers in universities and research and policy institutions,
graduate students and practitioners in economics, finance and
international economics in both private and government
institutions.
This book contains a selection of the contributions presented at
the conference. The articles reflect the extent, diversity and
richness of research areas in the field, both fundamental and
applied finance. The target audience of these proceedings includes
researchers at universities and research and policy institutions,
graduate students and practitioners in economics, finance and
international economics in private or government institutions.
This volume includes a selection of the contributions presented at
the Wroclaw conference in Finance, covering a wide range of topics
in the area of finance. The articles reflect the extent, diversity
and richness of research areas in the field. Discussing both
fundamental and applied finance, it offers a detailed analysis of
current financial-market problems including specifics of Polish and
Central European markets. It also examines the results of advanced
financial modeling. These proceedings are a valuable resource for
researchers in universities and research and policy institutions,
graduate students and practitioners in economics, finance and
international economics in both private and government
institutions.
This book contains a selection of the contributions presented at
the conference. The articles reflect the extent, diversity and
richness of research areas in the field, both fundamental and
applied finance. The target audience of these proceedings includes
researchers at universities and research and policy institutions,
graduate students and practitioners in economics, finance and
international economics in private or government institutions.
This volume features a selection of contributions presented at the
2018 Wroclaw Conference in Finance, which cover a wide range of
topics in finance and financial economics, e.g. financial markets;
monetary policy; corporate, personal and public finance; and risk
management and insurance. Reflecting the diversity and richness of
research areas in the field, the papers discuss both fundamental
and applied finance, and offer a detailed analysis of current
financial-market problems, including specifics of the Polish and
Central European markets. They also examine the results of advanced
financial modeling. Accordingly, the proceedings offer a valuable
resource for researchers at universities and policy institutions,
as well as graduate students and practitioners in economics and
finance at both private and government organizations.
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