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Banking and Monetary Policy in Eastern Europe
Details
At the beginning of the transition process, the countries of Central and Eastern Europe faced the task of creating a functioning financial system where none had existed before. A decade later, high-level practitioners and well-known experts take stock of banking and monetary policy in the region, centring on: the governance of banks; the spread of financial crisis; and, perspectives for monetary policy and banking sector development.
Autorentext
ZSOFIA ARVAI Economics and Research Department, National Bank of Hungary GERWIN BELL Senior Economist, International Monetary Fund's European I Department PETER BOFINGER Professor of Economics, University of Würzburg LAJOS BOKROS Director of Financial Advisory Service, Europe and Central Asia, The World Bank CLAUDIA BUCH Head of Research Group, Financial Markets, Kiel Institute of World Economics CHRISTA HAINZ Economics Postgraduate, Lugwig-Maximilians-University, Munich WERNER NEUHAUSS Senior Project Manager and Financial Sector Specialist, Kreditanstalt für Wiederaufbau (KfW), Germany's Development Bank, Frankfurt ZBIGNIEW POLANSKI Professor of Money and Banking, Warsaw School of Economics and Advisor to the President of the National Bank of Poland MONIKA SCHNITZER Professor of Economics, Lugwig-Maximilians-University JÁNOS VINCZE Advisor, Research and Economics Department, National Bank of Hungary TIMO WOLLMERSHÄUSER Research Assistant, Department of Economics, University of Würzburg CLAUS-PETER ZEITINGER Founder and Managing Director, Internationale Projekt Consult (IPC) GmbH, Frankfurt
Inhalt
List of Tables List of Figures Acknowledgements PART I: KEYNOTE ADDRESS Experience and Perspectives of Financial Sector Development in Central and Eastern Europe; L.Bokros PART II: THE GOVERNANCE OF BANKS IN EMERGING FINANCIAL SYSTEMS Is Foreign Control a Panacea? On Governance and Restructuring of Commercial Banks in Transition Economies; C.Buch Refinancing Banks in an Unstable Financial Environment: The KfW Experience; W.Neuhauss PART III: FINANCIAL CRISIS IN RETROSPECT Models of Financial Crisis? Can They Explain the 'Boom' of Financial Crises in Transition?; Z.Arvai & J.Vincze Promoting Financial Development and Preventing Crisis: Lessons from Poland; Z.Polanski The Role of the Financial Sector in Macroeconomic Adjustment Programmes; G.Bell PART IV: FINANCIAL DEVELOPMENT IN EASTERN EUROPE: LOOKING AHEAD 'EU Accession Countries: What Path to a Successful EMU Membership?'; P.Bofinger & T.Wollmershäuser Financial Institution Building: Only a Drop in the Ocean?; C.P.Zeitinger The Development of the Banking Sector in Eastern Europe: The Next Decade; C.Hainz & M.Schnitzer Index
Weitere Informationen
- Allgemeine Informationen
- GTIN 09781349430093
- Lesemotiv Verstehen
- Genre Economics
- Auflage 1st edition 2002
- Editor Adalbert Winkler
- Sprache Englisch
- Anzahl Seiten 240
- Herausgeber Palgrave Macmillan UK
- Größe H216mm x B140mm x T14mm
- Jahr 2002
- EAN 9781349430093
- Format Kartonierter Einband
- ISBN 1349430099
- Veröffentlichung 01.01.2002
- Titel Banking and Monetary Policy in Eastern Europe
- Autor Adalbert Winkler
- Untertitel The First Ten Years
- Gewicht 308g