Author: Mark Duckenfield
Publisher: Taylor & Francis
ISBN: 1040249043
Category : Business & Economics
Languages : en
Pages : 370
Book Description
Looks at the origins and consequences of seminal financial crises throughout history, combining contemporary texts from nineteen financial disasters between 1763 and 1994, with academic interpretations of the major causes and consequences of each crisis. These documents contain evaluations of the underlying causes of the various crises.
The History of Financial Disasters, 1763-1995 Vol 2
Author: Mark Duckenfield
Publisher: Taylor & Francis
ISBN: 1040249043
Category : Business & Economics
Languages : en
Pages : 370
Book Description
Looks at the origins and consequences of seminal financial crises throughout history, combining contemporary texts from nineteen financial disasters between 1763 and 1994, with academic interpretations of the major causes and consequences of each crisis. These documents contain evaluations of the underlying causes of the various crises.
Publisher: Taylor & Francis
ISBN: 1040249043
Category : Business & Economics
Languages : en
Pages : 370
Book Description
Looks at the origins and consequences of seminal financial crises throughout history, combining contemporary texts from nineteen financial disasters between 1763 and 1994, with academic interpretations of the major causes and consequences of each crisis. These documents contain evaluations of the underlying causes of the various crises.
The History of Financial Disasters, 1763-1995 Vol 3
Author: Mark Duckenfield
Publisher: Taylor & Francis
ISBN: 1040251234
Category : Business & Economics
Languages : en
Pages : 546
Book Description
Looks at the origins and consequences of seminal financial crises throughout history, combining contemporary texts from nineteen financial disasters between 1763 and 1994, with academic interpretations of the major causes and consequences of each crisis. These documents contain evaluations of the underlying causes of the various crises.
Publisher: Taylor & Francis
ISBN: 1040251234
Category : Business & Economics
Languages : en
Pages : 546
Book Description
Looks at the origins and consequences of seminal financial crises throughout history, combining contemporary texts from nineteen financial disasters between 1763 and 1994, with academic interpretations of the major causes and consequences of each crisis. These documents contain evaluations of the underlying causes of the various crises.
The History of Financial Disasters, 1763-1995 Vol 1
Author: Mark Duckenfield
Publisher: Taylor & Francis
ISBN: 1040242626
Category : Business & Economics
Languages : en
Pages : 495
Book Description
Looks at the origins and consequences of seminal financial crises throughout history, combining contemporary texts from nineteen financial disasters between 1763 and 1994, with academic interpretations of the major causes and consequences of each crisis. These documents contain evaluations of the underlying causes of the various crises.
Publisher: Taylor & Francis
ISBN: 1040242626
Category : Business & Economics
Languages : en
Pages : 495
Book Description
Looks at the origins and consequences of seminal financial crises throughout history, combining contemporary texts from nineteen financial disasters between 1763 and 1994, with academic interpretations of the major causes and consequences of each crisis. These documents contain evaluations of the underlying causes of the various crises.
The History of Financial Disasters, 1763-1995 Vol 2
Author: Mark Duckenfield
Publisher: Routledge
ISBN: 9781138760806
Category :
Languages : en
Pages : 0
Book Description
Looks at the origins and consequences of seminal financial crises throughout history, combining contemporary texts from nineteen financial disasters between 1763 and 1994, with academic interpretations of the major causes and consequences of each crisis. These documents contain evaluations of the underlying causes of the various crises.
Publisher: Routledge
ISBN: 9781138760806
Category :
Languages : en
Pages : 0
Book Description
Looks at the origins and consequences of seminal financial crises throughout history, combining contemporary texts from nineteen financial disasters between 1763 and 1994, with academic interpretations of the major causes and consequences of each crisis. These documents contain evaluations of the underlying causes of the various crises.
Law and Finance after the Financial Crisis
Author: Abdul Karim Aldohni
Publisher: Routledge
ISBN: 1317385578
Category : Business & Economics
Languages : en
Pages : 224
Book Description
The 2008 financial crisis has become one of the defining features of the twenty first century’s first decade. The series of events which unfolded in the aftermath of the crisis has exposed major structural flaws in many of the financial systems around the globe, triggering a global call for legal and regulatory reforms to address the problems that have been uncovered. This book deals with a neglected angle of the 2008 financial crisis looking in-depth at the implicit effects of the 2008 crisis on the UK financial market. The book considers new trends in finance which have emerged since the crisis as well as the challenges faced by some older practices in the UK financial markets. After providing a reflective account of the history of law and creditors in the UK the book investigates the proliferation of certain forms of financing that have recently become very visible parts of the UK financial market’s structure, such as high cost short term lending and peer to peer lending. It provides legal and economic accounts of these forms of alternative lending, charting their developments, current status and critically assesses their impact on the UK financial market. Also examined are the ongoing funding difficulties faced by Small and Medium Enterprises (SMEs) and the suitability of the UK current legal framework to support these institutions. The book goes on to look at the viability and safety of some other post crisis trends such as banks use of Contingent Convertible Bonds (CoCos) to improve their resilience.
Publisher: Routledge
ISBN: 1317385578
Category : Business & Economics
Languages : en
Pages : 224
Book Description
The 2008 financial crisis has become one of the defining features of the twenty first century’s first decade. The series of events which unfolded in the aftermath of the crisis has exposed major structural flaws in many of the financial systems around the globe, triggering a global call for legal and regulatory reforms to address the problems that have been uncovered. This book deals with a neglected angle of the 2008 financial crisis looking in-depth at the implicit effects of the 2008 crisis on the UK financial market. The book considers new trends in finance which have emerged since the crisis as well as the challenges faced by some older practices in the UK financial markets. After providing a reflective account of the history of law and creditors in the UK the book investigates the proliferation of certain forms of financing that have recently become very visible parts of the UK financial market’s structure, such as high cost short term lending and peer to peer lending. It provides legal and economic accounts of these forms of alternative lending, charting their developments, current status and critically assesses their impact on the UK financial market. Also examined are the ongoing funding difficulties faced by Small and Medium Enterprises (SMEs) and the suitability of the UK current legal framework to support these institutions. The book goes on to look at the viability and safety of some other post crisis trends such as banks use of Contingent Convertible Bonds (CoCos) to improve their resilience.
The Specter of Capital
Author: Joseph Vogl
Publisher: Stanford University Press
ISBN: 0804792968
Category : Business & Economics
Languages : en
Pages : 169
Book Description
In his brilliant interdisciplinary analysis of the global financial crisis, Joseph Vogl aims to demystify finance capitalism—with its bewildering array of new instruments—by tracing the historical stages through which the financial market achieved its current autonomy. Classical and neoclassical economic theorists have played a decisive role here. Ignoring early warnings about the instability of speculative finance markets, they have persisted in their belief in the inherent equilibrium of the market, describing even major crises as mere aberrations or adjustments and rationalizing dubious financial practices that escalate risk while seeking to manage it. "The market knows best": this is a secular version of Adam Smith's faith in the market's "invisible hand," his economic interpretation of eighteenth-century providentialist theodicy, which subsequently hardened into an "oikodicy," an unquestioning belief in the self-regulating beneficence of market forces. Vogl shows that financial theory, assisted by mathematical modeling and digital technology, itself operates as a "hidden hand," pushing economic reality into unknown territory. He challenges economic theorists to move beyond the neoclassical paradigm to discern the true contours of the current epoch of financial convulsions.
Publisher: Stanford University Press
ISBN: 0804792968
Category : Business & Economics
Languages : en
Pages : 169
Book Description
In his brilliant interdisciplinary analysis of the global financial crisis, Joseph Vogl aims to demystify finance capitalism—with its bewildering array of new instruments—by tracing the historical stages through which the financial market achieved its current autonomy. Classical and neoclassical economic theorists have played a decisive role here. Ignoring early warnings about the instability of speculative finance markets, they have persisted in their belief in the inherent equilibrium of the market, describing even major crises as mere aberrations or adjustments and rationalizing dubious financial practices that escalate risk while seeking to manage it. "The market knows best": this is a secular version of Adam Smith's faith in the market's "invisible hand," his economic interpretation of eighteenth-century providentialist theodicy, which subsequently hardened into an "oikodicy," an unquestioning belief in the self-regulating beneficence of market forces. Vogl shows that financial theory, assisted by mathematical modeling and digital technology, itself operates as a "hidden hand," pushing economic reality into unknown territory. He challenges economic theorists to move beyond the neoclassical paradigm to discern the true contours of the current epoch of financial convulsions.
Natural Computing in Computational Finance
Author: Anthony Brabazon
Publisher: Springer
ISBN: 3540959742
Category : Business & Economics
Languages : en
Pages : 246
Book Description
Recent years have seen the widespread application of Natural Computing algorithms (broadly defined in this context as computer algorithms whose design draws inspiration from phenomena in the natural world) for the purposes of financial modelling and optimisation. A related stream of work has also seen the application of learning mechanisms drawn from Natural Computing algorithms for the purposes of agent-based modelling in finance and economics. In this book we have collected a series of chapters which illustrate these two faces of Natural Computing. The first part of the book illustrates how algorithms inspired by the natural world can be used as problem solvers to uncover and optimise financial models. The second part of the book examines a number agent-based simulations of financial systems. This book follows on from Natural Computing in Computational Finance (Volume 100 in Springer’s Studies in Computational Intelligence series) which in turn arose from the success of EvoFIN 2007, the very first European Workshop on Evolutionary Computation in Finance & Economics held in Valencia, Spain in April 2007.
Publisher: Springer
ISBN: 3540959742
Category : Business & Economics
Languages : en
Pages : 246
Book Description
Recent years have seen the widespread application of Natural Computing algorithms (broadly defined in this context as computer algorithms whose design draws inspiration from phenomena in the natural world) for the purposes of financial modelling and optimisation. A related stream of work has also seen the application of learning mechanisms drawn from Natural Computing algorithms for the purposes of agent-based modelling in finance and economics. In this book we have collected a series of chapters which illustrate these two faces of Natural Computing. The first part of the book illustrates how algorithms inspired by the natural world can be used as problem solvers to uncover and optimise financial models. The second part of the book examines a number agent-based simulations of financial systems. This book follows on from Natural Computing in Computational Finance (Volume 100 in Springer’s Studies in Computational Intelligence series) which in turn arose from the success of EvoFIN 2007, the very first European Workshop on Evolutionary Computation in Finance & Economics held in Valencia, Spain in April 2007.
Battles Over Free Trade, Volume 3
Author: Mark Duckenfield
Publisher: Routledge
ISBN: 1351574442
Category : Business & Economics
Languages : en
Pages : 379
Book Description
After the collapse of the Doha Development Round of the World Trade Organization talks, agricultural subsidies and market liberalization went high on the political agenda. This work features historical documents that address the thorny relationship between trade and politics, the appropriate role of international regulation, and domestic concerns.
Publisher: Routledge
ISBN: 1351574442
Category : Business & Economics
Languages : en
Pages : 379
Book Description
After the collapse of the Doha Development Round of the World Trade Organization talks, agricultural subsidies and market liberalization went high on the political agenda. This work features historical documents that address the thorny relationship between trade and politics, the appropriate role of international regulation, and domestic concerns.
Battles Over Free Trade
Author: Anthony Howe
Publisher: Taylor & Francis
ISBN: 1040156053
Category : Business & Economics
Languages : en
Pages : 1597
Book Description
After the collapse of the Doha Development Round of the World Trade Organization talks, agricultural subsidies and market liberalization went high on the political agenda. This work features historical documents that address the thorny relationship between trade and politics, the appropriate role of international regulation, and domestic concerns.
Publisher: Taylor & Francis
ISBN: 1040156053
Category : Business & Economics
Languages : en
Pages : 1597
Book Description
After the collapse of the Doha Development Round of the World Trade Organization talks, agricultural subsidies and market liberalization went high on the political agenda. This work features historical documents that address the thorny relationship between trade and politics, the appropriate role of international regulation, and domestic concerns.
The Letters of Richard Cobden
Author: Richard Cobden
Publisher: Oxford University Press (UK)
ISBN: 0199211973
Category : Biography & Autobiography
Languages : en
Pages : 580
Book Description
The third volume of Cobden's Letters covers the Crimean War, the Indian Mutiny, and the preliminary negotiations over the Anglo-French Commercial Treaty of 1860. It reveals the tension between public and private life experienced by Cobden from 1854 until 1859.
Publisher: Oxford University Press (UK)
ISBN: 0199211973
Category : Biography & Autobiography
Languages : en
Pages : 580
Book Description
The third volume of Cobden's Letters covers the Crimean War, the Indian Mutiny, and the preliminary negotiations over the Anglo-French Commercial Treaty of 1860. It reveals the tension between public and private life experienced by Cobden from 1854 until 1859.