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Macroeconomics (European Edition): Worth Publishers

Autor N. Gregory Mankiw, Mark Taylor
en Limba Engleză Paperback – 18 mai 2014

The new European edition of Mankiw's bestselling and highly readable text communicates the theories and models of macroeconomics in a concise and accessible way, with real-world examples, discussions and case studies. The text is fully updated with extensive coverage of the global financial crisis and in particular its impact on European economies.

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Specificații

ISBN-13: 9781464141775
ISBN-10: 1464141770
Pagini: 598
Dimensiuni: 205 x 254 x 30 mm
Greutate: 1.13 kg
Ediția:Nouă
Editura: MACMILLAN EDUCATION
Colecția Worth Publishers
Seria Worth Publishers

Locul publicării:New York, United States

Cuprins

1. The Science of Macroeconomics
2. The Data of Macroeconomics
3. National Income: Where It Comes From and Where It Goes
4. The Monetary System: What It Is and How It Works
5. Inflation: Its Causes, Effects, and Social Costs
6. The Open Economy
7. Unemployment
8. Economic Growth I: Capital Accumulation and Population Growth
9. Economic Growth II: Technology, Empirics, and Policy
10. Introduction to Economic Fluctuations
11. Aggregate Demand I: Building the IS-LM Model
12. Aggregate Demand II: Applying the IS-LM Model
13. The Open Economy Revisited: The Mundell-Fleming Model and the Exchange-Rate Regime
14. Aggregate Supply and the Short-Run Trade-Off Between Inflation and Unemployment
15. Stabilization Policy
16. Government Debt
17. Common Currency Areas and European Economic and Monetary Union
18. Consumption
19. Investment
20. The Financial System: Opportunities and Dangers


Notă biografică

N. Gregory Mankiw is Professor of Economics at Harvard University, USA. His research ranges across macroeconomics and includes work on price adjustment, consumer behaviour, financial markets, monetary and fiscal policy, and economic growth.
 
Mark P. Taylor is Dean of Warwick Business School, UK and has held a professorship in international finance at Warwick since 1999. His research on exchange rates and international financial markets has been published extensively in many of the leading academic and practitioner journals.


Caracteristici

All the strengths of the US original but with an increased European focus
A brand new chapter on the ongoing effects of the financial crisis with discussion of the topic integrated throughout
Numerous new case studies that use theory to shed light on real-world data and events
Fully up-to-date data and research represented in dozens of figures, tables and discussions