Author:
Publisher: World Bank Publications
ISBN:
Category :
Languages : en
Pages : 49
Book Description
The 1944 Currency Crisis in Turkey
Author:
Publisher: World Bank Publications
ISBN:
Category :
Languages : en
Pages : 49
Book Description
Publisher: World Bank Publications
ISBN:
Category :
Languages : en
Pages : 49
Book Description
Turkey's Economy from Different Perspectives After 1980
Author: Ebru Gül Yilmaz
Publisher: Peter Lang Gmbh, Internationaler Verlag Der Wissenschaften
ISBN: 9783631811757
Category : Turkey
Languages : en
Pages : 282
Book Description
This collection of assets aims to review Turkey's economy from different perspectives by focusing on the period after 1980s, present and the future. Each section focuses on different parts of the full economic picture; such as innovation on economy, deindustrialization, circular economy
Publisher: Peter Lang Gmbh, Internationaler Verlag Der Wissenschaften
ISBN: 9783631811757
Category : Turkey
Languages : en
Pages : 282
Book Description
This collection of assets aims to review Turkey's economy from different perspectives by focusing on the period after 1980s, present and the future. Each section focuses on different parts of the full economic picture; such as innovation on economy, deindustrialization, circular economy
The inflation crisis, and how to resolve it
Author: Henry Hazlitt
Publisher: Ludwig von Mises Institute
ISBN: 1610164261
Category : Deflation (Finance)
Languages : en
Pages : 198
Book Description
Publisher: Ludwig von Mises Institute
ISBN: 1610164261
Category : Deflation (Finance)
Languages : en
Pages : 198
Book Description
The Global Gamble
Author: Peter Gowan
Publisher: Verso
ISBN: 9781859842713
Category : History
Languages : en
Pages : 342
Book Description
Peter Gowan argues that, since the collapse of the USSR, the US government has been trying to bring about a unipolar world in which the United States can control and shape the pattern of economic and political change in all regions of the globe.
Publisher: Verso
ISBN: 9781859842713
Category : History
Languages : en
Pages : 342
Book Description
Peter Gowan argues that, since the collapse of the USSR, the US government has been trying to bring about a unipolar world in which the United States can control and shape the pattern of economic and political change in all regions of the globe.
International Banking for a New Century
Author: Irene Finel-Honigman
Publisher: Routledge
ISBN: 131752716X
Category : Business & Economics
Languages : en
Pages : 274
Book Description
This new textbook provides an up-to-date overview of international banking as the second decade of the twenty-first century unfolds. Integrating geo-economic, operational, institutional and regulatory changes in the financial sector, the volume’s methodology incorporates specific case studies and research, combining theory with practical examples to illustrate the impact and consequences of past and present financial crises. The volume considers the core aspects of international banking, including its structural and technical features, historical context, institutional evolution in core markets, and wholesale, retail, investment and private banking. It uses specific examples from past and present literature, post-2008 case studies and histories, and research materials, offering a fully updated overview of how international banks respond to global crises, the origin, efficacy and evolution of financial markets, and the regulatory framework within which they function. One chapter is devoted to the evolution and potential of new markets, including the financial sectors of the BRICS and other emerging economies. Each chapter examines background, causes, impact and resolution, focusing on specific cases and their broader implications for the sector. This textbook is a guide to the new, and at times unchartered, landscape to be navigated by large domestic, cross-regional and global banks, and will be invaluable reading for students of finance, business and economics, as well as for those in the financial sector.
Publisher: Routledge
ISBN: 131752716X
Category : Business & Economics
Languages : en
Pages : 274
Book Description
This new textbook provides an up-to-date overview of international banking as the second decade of the twenty-first century unfolds. Integrating geo-economic, operational, institutional and regulatory changes in the financial sector, the volume’s methodology incorporates specific case studies and research, combining theory with practical examples to illustrate the impact and consequences of past and present financial crises. The volume considers the core aspects of international banking, including its structural and technical features, historical context, institutional evolution in core markets, and wholesale, retail, investment and private banking. It uses specific examples from past and present literature, post-2008 case studies and histories, and research materials, offering a fully updated overview of how international banks respond to global crises, the origin, efficacy and evolution of financial markets, and the regulatory framework within which they function. One chapter is devoted to the evolution and potential of new markets, including the financial sectors of the BRICS and other emerging economies. Each chapter examines background, causes, impact and resolution, focusing on specific cases and their broader implications for the sector. This textbook is a guide to the new, and at times unchartered, landscape to be navigated by large domestic, cross-regional and global banks, and will be invaluable reading for students of finance, business and economics, as well as for those in the financial sector.
This Time Is Different
Author: Carmen M. Reinhart
Publisher: Princeton University Press
ISBN: 0691152640
Category : Business & Economics
Languages : en
Pages : 513
Book Description
An empirical investigation of financial crises during the last 800 years.
Publisher: Princeton University Press
ISBN: 0691152640
Category : Business & Economics
Languages : en
Pages : 513
Book Description
An empirical investigation of financial crises during the last 800 years.
The End of Representative Politics
Author: Simon Tormey
Publisher: John Wiley & Sons
ISBN: 0745690513
Category : Political Science
Languages : en
Pages : 182
Book Description
Representative politics is in crisis. Trust in politicians is at an all-time low. Fewer people are voting or joining political parties, and our interest in parliamentary politics is declining fast. Even oppositional and radical parties that should be benefitting from public disenchantment with politics are suffering. But different forms of political activity are emerging to replace representative politics: instant politics, direct action, insurgent politics. We are leaving behind traditional representation, and moving towards a politics without representatives. In this provocative new book, Simon Tormey explores the changes that are underway, drawing on a rich range of examples from the Arab Spring to the Indignados uprising in Spain, street protests in Brazil and Turkey to the emergence of new initiatives such as Anonymous and Occupy. Tormey argues that the easy assumptions that informed our thinking about the nature and role of parties, and ‘party based democracy’ have to be rethought. We are entering a period of fast politics, evanescent politics, a politics of the street, of the squares, of micro-parties, pop-up parties, and demonstrations. This may well be the end of representative politics as we know it, but an exciting new era of political engagement is just beginning.
Publisher: John Wiley & Sons
ISBN: 0745690513
Category : Political Science
Languages : en
Pages : 182
Book Description
Representative politics is in crisis. Trust in politicians is at an all-time low. Fewer people are voting or joining political parties, and our interest in parliamentary politics is declining fast. Even oppositional and radical parties that should be benefitting from public disenchantment with politics are suffering. But different forms of political activity are emerging to replace representative politics: instant politics, direct action, insurgent politics. We are leaving behind traditional representation, and moving towards a politics without representatives. In this provocative new book, Simon Tormey explores the changes that are underway, drawing on a rich range of examples from the Arab Spring to the Indignados uprising in Spain, street protests in Brazil and Turkey to the emergence of new initiatives such as Anonymous and Occupy. Tormey argues that the easy assumptions that informed our thinking about the nature and role of parties, and ‘party based democracy’ have to be rethought. We are entering a period of fast politics, evanescent politics, a politics of the street, of the squares, of micro-parties, pop-up parties, and demonstrations. This may well be the end of representative politics as we know it, but an exciting new era of political engagement is just beginning.
From Crisis to Crisis
Author: Ross Buckley
Publisher: Kluwer Law International B.V.
ISBN: 9041139427
Category : Law
Languages : en
Pages : 362
Book Description
The global financial system has proven increasingly unstable and crisis-prone since the early 1980s. The system has failed to serve either creditors or debtors well. This has been reinforced by the global financial crisis of 2008, where we have seen systemic weaknesses bring rich countries to the brink of bankruptcy and visit appalling suffering on the poorest citizens of poor countries. Yet the regulatory responses to this crisis have involved little thinking from outside the box in which the crisis was delivered to the world. This book presents a powerful indictment of this regulatory failure and calls for greatly increased attention to international financial law and analyses new regulatory measures with the potential to make a new recognition of the principles that ought to underlie it. Using a historical approach that compares the various financial crises of the past three decades, the authors clearly show how misconceived economic policy responses have paved the way for each next ‘crash’. Among the numerous topics that arise in the course of this revealing analysis are the following: overvalued exchange rates; excess liquidity in rich countries; premature liberalisation of local financial markets; capital controls; derivatives markets; accounting standards; credit ratings and the conflicts in the role of credit rating agencies; investor protection arrangements; insurance companies; and payment, clearing and settlement activities. The authors offer detailed commentary on: the role of multilateral development banks, the IMF and the WTO in responding to crises; the role of the Basel Accords, the Financial Stability Forum and Board, and the responses of the European Commission, the US, and the G20 to the most recent crisis. The book concludes by exploring systemic game-changing reforms such as bank levies, financial activities taxes and financial transaction taxes, and a global sovereign bankruptcy regime; as well as measures to remove the currency mismatches from the balance sheets of developing countries. Apart from its great usefulness as a detailed introduction to the international financial system and its regulation, the book is enormously valuable for its clear identification of the areas of regulatory failure, and its analysis of new regulatory approaches that offer the potential for a genuinely more stable system. Banking and investment policymakers at every level, the lawyers that serve these markets and the regulators that seek to regulate them, cannot afford to neglect this book.
Publisher: Kluwer Law International B.V.
ISBN: 9041139427
Category : Law
Languages : en
Pages : 362
Book Description
The global financial system has proven increasingly unstable and crisis-prone since the early 1980s. The system has failed to serve either creditors or debtors well. This has been reinforced by the global financial crisis of 2008, where we have seen systemic weaknesses bring rich countries to the brink of bankruptcy and visit appalling suffering on the poorest citizens of poor countries. Yet the regulatory responses to this crisis have involved little thinking from outside the box in which the crisis was delivered to the world. This book presents a powerful indictment of this regulatory failure and calls for greatly increased attention to international financial law and analyses new regulatory measures with the potential to make a new recognition of the principles that ought to underlie it. Using a historical approach that compares the various financial crises of the past three decades, the authors clearly show how misconceived economic policy responses have paved the way for each next ‘crash’. Among the numerous topics that arise in the course of this revealing analysis are the following: overvalued exchange rates; excess liquidity in rich countries; premature liberalisation of local financial markets; capital controls; derivatives markets; accounting standards; credit ratings and the conflicts in the role of credit rating agencies; investor protection arrangements; insurance companies; and payment, clearing and settlement activities. The authors offer detailed commentary on: the role of multilateral development banks, the IMF and the WTO in responding to crises; the role of the Basel Accords, the Financial Stability Forum and Board, and the responses of the European Commission, the US, and the G20 to the most recent crisis. The book concludes by exploring systemic game-changing reforms such as bank levies, financial activities taxes and financial transaction taxes, and a global sovereign bankruptcy regime; as well as measures to remove the currency mismatches from the balance sheets of developing countries. Apart from its great usefulness as a detailed introduction to the international financial system and its regulation, the book is enormously valuable for its clear identification of the areas of regulatory failure, and its analysis of new regulatory approaches that offer the potential for a genuinely more stable system. Banking and investment policymakers at every level, the lawyers that serve these markets and the regulators that seek to regulate them, cannot afford to neglect this book.
Britain and the Greek Economic Crisis, 1944-1947
Author: Athanasios Lykogiannis
Publisher: University of Missouri Press
ISBN: 0826263666
Category : Business & Economics
Languages : en
Pages : 307
Book Description
In October 1944, the National Unity Government of newly liberated Greece faced a severe inflationary crisis. Although Greece could count on considerable assistance and advice from its allies, particularly Great Britain, much depended on Greece's own actions and its determination to restore economic normality. Success was meager, and by the time the British pulled out of Greece in the spring of 1947, economic stability remained elusive. Britain and the Greek Economic Crisis, 1944-1947 concentrates on Anglo-Greek interactions in economic matters during the political and economic turmoil between the Axis occupation of Greece and the Greek civil war. By analyzing the Greek crisis primarily in economic terms, Athanasios Lykogiannis avoids the political partisanship that has colored much previous writing on the subject and throws light on many issues neglected by earlier authors. Drawing on a range of untapped British, American, and Greek archival sources, as well as extensive secondary sources, the author examines the interplay of political and economic factors, such as the ingrained polarization of Greek society and the weakness and timidity of the country's governments, that aggravated and prolonged the crisis.
Publisher: University of Missouri Press
ISBN: 0826263666
Category : Business & Economics
Languages : en
Pages : 307
Book Description
In October 1944, the National Unity Government of newly liberated Greece faced a severe inflationary crisis. Although Greece could count on considerable assistance and advice from its allies, particularly Great Britain, much depended on Greece's own actions and its determination to restore economic normality. Success was meager, and by the time the British pulled out of Greece in the spring of 1947, economic stability remained elusive. Britain and the Greek Economic Crisis, 1944-1947 concentrates on Anglo-Greek interactions in economic matters during the political and economic turmoil between the Axis occupation of Greece and the Greek civil war. By analyzing the Greek crisis primarily in economic terms, Athanasios Lykogiannis avoids the political partisanship that has colored much previous writing on the subject and throws light on many issues neglected by earlier authors. Drawing on a range of untapped British, American, and Greek archival sources, as well as extensive secondary sources, the author examines the interplay of political and economic factors, such as the ingrained polarization of Greek society and the weakness and timidity of the country's governments, that aggravated and prolonged the crisis.
The Determinants of Currency Crises
Author: B. Rother
Publisher: Springer
ISBN: 0230233643
Category : Political Science
Languages : en
Pages : 198
Book Description
This book explores the role of political factors in the occurrence of currency crises, using an eclectic approach that blends case studies, a rigorous theoretical discussion, and econometric analysis.
Publisher: Springer
ISBN: 0230233643
Category : Political Science
Languages : en
Pages : 198
Book Description
This book explores the role of political factors in the occurrence of currency crises, using an eclectic approach that blends case studies, a rigorous theoretical discussion, and econometric analysis.