Sovereign Debt Crisis - D. Chorafas

Sovereign Debt Crisis

The New Normal and the Newly Poor

(Autor)

Buch | Hardcover
275 Seiten
2011
Palgrave Macmillan (Verlag)
978-0-230-29840-8 (ISBN)
106,99 inkl. MwSt
Restructuring the balance sheets of Western governments, banks and households is an important issue in the recovery after the recent crisis. Chorafas' latest book focuses on sovereign debt, sovereign risk and the developing economic and financial business climate and explains why the year of the big crisis may fall in the middle of this decade.

Dimitris N. Chorafas served on the faculty of the Catholic University of America and as Visiting Professor at Washington State University, George Washington University, University of Vermont, University of Florida, and Georgia Institute of Technology in the United States, as well as the University of Alberta, Technical University of Karlsruhe, Ecole d'Etudes Industrielles de l'Université de Genève, Ecole Polytechnic Fédérale de Lausanne, Polish Academy of Sciences and Russian Academy of Sciences. More than 8,000 banking, industrial and government executives participated in his seminars in the United States, England, Germany, Italy, other European countries, Asia and Latin America. Chorafas is the author of 160 books, translated into several languages world-wide.

PART I: FINANCIAL RISKS WHICH KEPT PILING UP The World's New Normal Economic System The Newly Poor The Salient Problem is Rights without Responsibilities PART II: LOOSE MONETARY AND FISCAL POLICIES LEAD TO THE DESTRUCTION OF WEALTH Japanification Conventional and Unconventional Weapons in a Central Bank's Arsenal Fiscal Policies, Spending Policies and Conflicting Aims Restructuring Sovereign Balance Sheets PART III: EUROLAND'S FINANCIAL INTEGRATION AND SOVEREIGN RISK Woes of Euroland's Financial Integration Sovereign Risk: Case Study on Greece Germany, France, Britain, Ireland and 'Club Med' PART IV: THE NEW NORMAL'S EFFECT ON THE WESTERN ECONOMY The North Atlantic Similarities are Greater Than You Think The Eu's Banking Industry and its Stress Testing The Global Systemic Risk has been Programmed for 2014

Reihe/Serie Palgrave Macmillan Studies in Banking and Financial Institutions
Zusatzinfo XV, 275 p.
Verlagsort Basingstoke
Sprache englisch
Maße 152 x 229 mm
Themenwelt Sozialwissenschaften Politik / Verwaltung Staat / Verwaltung
Wirtschaft Betriebswirtschaft / Management Allgemeines / Lexika
Wirtschaft Betriebswirtschaft / Management Finanzierung
Betriebswirtschaft / Management Spezielle Betriebswirtschaftslehre Bankbetriebslehre
Wirtschaft Betriebswirtschaft / Management Unternehmensführung / Management
Wirtschaft Volkswirtschaftslehre Finanzwissenschaft
Wirtschaft Volkswirtschaftslehre Wirtschaftspolitik
ISBN-10 0-230-29840-0 / 0230298400
ISBN-13 978-0-230-29840-8 / 9780230298408
Zustand Neuware
Haben Sie eine Frage zum Produkt?
Mehr entdecken
aus dem Bereich
denken und handeln wie ein professioneller Trader

von Mark Douglas

Buch | Softcover (2023)
Vahlen, Franz (Verlag)
36,90