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This textbook investigates the linkages between energy-commodities
markets, financial markets and the economy and incorporates
different aspects of the energy market, organizing the relevant
material in two distinct parts. Part one includes studies that
relate to the impact of developments in the various
energy-commodities markets (e.g., oil, gas) both on financial
markets and economic growth, including studies that consider the
impact of energy prices on financial markets or the effect on
specific macroeconomic variables, such as interest rates,
inflation, GDP. Part two discusses developments in the energy
market from a climate change or green financing point of view,
further considering issues that relate to climate finance, green
investing, as well as policy making relating to GHG Emissions. By
introducing a multitude of topics in energy finance, this textbook
provides a holistic view of the market and its importance
This book sheds new light on the Greek economic challenges and
helps readers understand the current debt crisis. Chapters from
leading experts in the field identify and outline potential
solutions to the on-going decline of the Greek economy by
considering both Eurozone-adopted current policy framework
explanations and potential alternative explanations. In contrast to
the standard chronological approach toward the Greek debt crisis
typically adopted by other texts, this book draws on the experience
and views of specialized economists and offers divergent opinions
that could potentially form alternative solutions. It will be of
interest to researchers and academics interested in the Greek
economy, modern financial modelling, and risk management.
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