Japan, Europe, and International Financial Markets: Analytical and Empirical Perspectives
Editat de Ryuzo Sato, Rama V. Ramachandran, Richard M. Levichen Limba Engleză Paperback – 25 ian 1996
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Specificații
ISBN-13: 9780521568456
ISBN-10: 0521568455
Pagini: 286
Ilustrații: 26 b/w illus. 49 tables
Dimensiuni: 152 x 229 x 15 mm
Greutate: 0.38 kg
Ediția:Revised
Editura: Cambridge University Press
Colecția Cambridge University Press
Locul publicării:New York, United States
ISBN-10: 0521568455
Pagini: 286
Ilustrații: 26 b/w illus. 49 tables
Dimensiuni: 152 x 229 x 15 mm
Greutate: 0.38 kg
Ediția:Revised
Editura: Cambridge University Press
Colecția Cambridge University Press
Locul publicării:New York, United States
Cuprins
Introduction and overview; 1. Policies and exchange rates: a simple analytical framework; 2. An overview of (older) exchange rate theory; 3. Second thoughts on EMU; 4. Investment flows and performance: evidence from mutual funds, cross border investments, and new issues; 5. Accumulation of net external assets in Japan; 6. Relative trade goods prices and imperfect competition in United States manufacturing industries; 7. Synthetic eurocurrency interest rate futures contracts: theory and evidence; 8. The volatility of Japanese stock indices: evidence from the cash and futures markets; 9. Capital markets and the banking sector: efficiency of Japanese banks in reducing agency costs; 10. Risk adjustment deposit insurance for Japanese banks; 11. Competition in retail banking markets: a comparison of Britain and Japan.
Descriere
This 1994 volume examines the ramifications of deregulation in various financial markets throughout the 1980s.