Sisäänkirjautuminen

Maltritz, Dominik

Financial Crises, Sovereign Risk and the Role of Institutions

Maltritz, Dominik - Financial Crises, Sovereign Risk and the Role of Institutions, e-kirja

117,70€

E-kirja, PDF, Adobe DRM-suojattu
ISBN: 9783319031040
DRM-rajoitukset

TulostusEi sallittu
Kopioi leikepöydälleEi sallittu

Table of contents

1. Introduction
Michael Berlemann, Dominik Maltritz

2. Gold-Backed Sovereign Bonds: An Effective Alternative to OMTs
Ansgar Belke

3. Trust in the European Central Bank Throughout the Worldwide Financial Crisis and the European Debt Crisis
Michael Berlemann

4. SIFIs in the Cross Sea: How Are Large German Banks Adjusting to a Rough Economic Environment and a New Regulatory Setting?
Thilo Liebig, Sebastian Wider

5. The Endogenous Fragility at European Periphery
Nikolay Nenovsky, Momtchil Karpouzanov

6. The Danger of Tax Havens for Financial Stability
Andreas Buehn, Daniel Kraaijeveld Hemert

7. The Evolution of International Geo-Political Risk 1956–2001
Ephraim Clark, Radu Tunaru

8. Financial Crises and Sovereign Default: Dependencies, Timing and Uncertainty in a Stochastic Framework
Dominik Maltritz

9. The Risk of Withdrawals from the EMU and the Foreign Exchange Market
Stefan Eichler

10. An Economic Approach to Market Risk
Christian Hott

11. The Quantity Theory of Money in Year Six After the Subprime Mortgage Crisis
Michael Graff

Avainsanat: Economics/Management Science, Financial Economics, Public Finance & Economics, Macroeconomics/Monetary Economics, European Integration, Finance/Investment/Banking, International Economics

Tekijä(t)
 
Julkaisija
Springer
Julkaisuvuosi
2013
Kieli
en
Painos
2013
Sivumäärä
9 sivua
Kategoria
Talous
Tiedostomuoto
E-kirja
eISBN (PDF)
9783319031040

Samankaltaisia e-kirjoja