The Volatility Machine: Emerging Economies and the Threat of Financial Collapse
Autor Michael Pettisen Limba Engleză Hardback – 7 iun 2001
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Specificații
ISBN-13: 9780195143300
ISBN-10: 0195143302
Pagini: 272
Ilustrații: line figures
Dimensiuni: 163 x 240 x 21 mm
Greutate: 0.55 kg
Editura: OUP OXFORD
Colecția OUP Oxford
Locul publicării:Oxford, United States
ISBN-10: 0195143302
Pagini: 272
Ilustrații: line figures
Dimensiuni: 163 x 240 x 21 mm
Greutate: 0.55 kg
Editura: OUP OXFORD
Colecția OUP Oxford
Locul publicării:Oxford, United States
Recenzii
A source of new and enlightening perspectives for a wide range of the subjects of financial analysis and policy making for emerging financial markets.
A cogent and compelling essay on the dynamics of emerging market crises ... Pettis's book offers invaluable insights into the dynamics of emerging market crises and provides important lessons for emerging market policy makers, investors, rating agencies, international institutions and anyone interested in emerging market finance. Moreover he has succeeded in delivering a punchy and highly readable volume
The Volatility Machine provides a welcome departure from the sterile academic debate on the subject of financial crisis. Economists may quibble ... but would be wise not to ignore [Pettis's] insights into how they can exacerbate external risks.
A cogent and compelling essay on the dynamics of emerging market crises ... Pettis's book offers invaluable insights into the dynamics of emerging market crises and provides important lessons for emerging market policy makers, investors, rating agencies, international institutions and anyone interested in emerging market finance. Moreover he has succeeded in delivering a punchy and highly readable volume
The Volatility Machine provides a welcome departure from the sterile academic debate on the subject of financial crisis. Economists may quibble ... but would be wise not to ignore [Pettis's] insights into how they can exacerbate external risks.
Notă biografică
Michael Pettis is a Managing Director at Bear Stearns, a New York investment bank and an adjunct professor at Columbia University where he teaches courses in international finance. He has been involved in emerging markets, both as an investment banker and as a sovereign adviser, since 1987. In addition, he has written extensively on the subject, on specialized financial topics, and on policy.