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Issues in Finance
Credit, Crises and Policies
Stuart Sayer (Edited by), S Sayer (Author)
9781444334012, Wiley
Paperback / softback, published 10 December 2010
224 pages
24.6 x 17.5 x 1.3 cm, 0.404 kg
"The range of topics in this well-researched and well-written book include optimizing value-at-risk and daily capital charges, managing value at risk under the Basel II Accord, sovereign insolvency procedures, collective action clauses in international sovereign bond contracts, a review of empirical studies on collateral and credit rationing, and capital requirements, business cycle fluctuations, and the Basel Accords." (Booknews, 1 April 2011)
Issues in Finance: Credit, Crises and Policies presents a collection of surveys on key issues surrounding the relationship between credit, finance, and the macro-economy that are linked to the recent global financial crisis.
Contributors. Issues in Finance: Credit, Crises and Policies – An Overview (Stuart Sayer). 1 Bank Capital Requirements, Business Cycle Fluctuations and the Basel Accords: A Synthesis (Ines Drumond). 2 The Ten Commandments for Optimizing Value-at-Risk and Daily Capital Charges (Michael McAleer). 3 The Ten Commandments for Managing Value at Risk Under the Basel II Accord (Juan-Ángel Jiménez-Martín, Michael McAleer and Teodosio Peréz-Amaral). 4 Sovereign Insolvency Procedures A Comparative Look at Selected Proposals (Kathrin Berensmann and Angélique Herzberg). 5 Collective Action Clauses in International Sovereign Bond Contracts – Whence the Opposition? (Sonke Haseler). 6 Collateral and Credit Rationing: A Review of Recent Empirical Studies as a Guide for Future Research (Tensie Steijvers and Wim Voordeckers). 7 The Stock Market, Housing and Consumer Spending: A Survey of the Evidence on Wealth Effects (Monica Paiella). 8 Price-Level Targeting and Stabilisation Policy: A Survey (Steve Ambler). Index.
Subject Areas: Economics [KC]
