Financial Markets and Economic Performance

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Details

Explores the interplay between financial markets and macroeconomic outcomes with a conceptual framework

Emphasizes the interrelationships between four markets: goods, credit (both bank and bond market channels), equity capital, and foreign exchange

Provides insight on how to anticipate market change and future price paths


Autorentext

John Silvia is currently President of Dynamic Economic Strategy, LLC. Formerly, John was managing director and the chief economist for Wells Fargo Securities until July 2018. Based in Charlotte, North Carolina, he held that position since he joined Wachovia, a Wells Fargo predecessor, in 2002 as the company's chief economist. Before his position at Wells, John worked on Capitol Hill as senior economist for the U.S. Senate Joint Economic Committee and chief economist for the U.S. Senate Banking, Housing and Urban Affairs Committee. Before that, he was chief economist of Kemper Funds and managing director of Scudder Kemper Investments, Inc. beginning in 1982. John holds B.A. and Ph.D. degrees in economics from Northeastern University in Boston and has a master's degree in economics from Brown University.


Inhalt

Chapter 1: Why Finance Matters for Economics: The Story of Financing the Railroad.- Chapter 2: The Story of the Original Boom and Bust in Western Finance: The Mississippi Bubble.- Chapter 3: Price Determination in a Multi Sector Global Economy.- Chapter 4: Credit Allocation and the Role of the Price of Credit.- Chapter 5: Short-term Credit: Financing the Consumer and Business.- Chapter 6: Capital Markets: Financing Business over the Long Term.- Chapter 7: Internal Dynamics of Corporate Finance: What's Behind the Curtain?.- Chapter 8: Evolution of Household Finances.- Chapter 9: Global Capital Flows: Credit Allocation across Borders.- Chapter 10: Profits: Rewards and Incentives.- Chapter 11: Equity Finance: Financing Innovation and Long-term Household Wealth.- Chapter 12: Federal Government Finance: The Grand Assumption.

Weitere Informationen

  • Allgemeine Informationen
    • GTIN 09783030762940
    • Lesemotiv Verstehen
    • Genre Economics
    • Auflage 1st edition 2021
    • Sprache Englisch
    • Anzahl Seiten 480
    • Herausgeber Springer International Publishing
    • Größe H241mm x B160mm x T32mm
    • Jahr 2021
    • EAN 9783030762940
    • Format Fester Einband
    • ISBN 3030762947
    • Veröffentlichung 01.08.2021
    • Titel Financial Markets and Economic Performance
    • Autor John E. Silvia
    • Untertitel A Model for Effective Decision Making
    • Gewicht 881g

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