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This edited volume on "Credit, Currency, or Derivatives:
Instruments of Global Financial Stability or Crisis" contains
original papers that examine various issues concerning the role,
the structure and functioning of credit, currency and derivatives
instruments and markets as they relate to financial crises. We
stress the importance of the inter-linkages of these instruments
and markets in promoting or hindering financial stability or crises
as well as government policies, on a local and global level. The
papers in this volume highlight various aspects of credit and
currency instruments and markets, along with their interactions,
for the stability of domestic and international financial systems.
Particular emphasis is given on the failures of regulatory systems
and their implications for systemic financial crises. Also, the
papers analyze the costs of financial crises and explore the
institutional and economic arrangements that could ameliorate the
adverse effects of financial crises in advanced and emerging-market
countries.
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