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Fragile Finance
Details
Fragile Finance examines financial crisis in the era of global credit. Drawing on the work of Hyman Minsky, the book discusses the global financial system over the past decade, suggesting that financial fragility stems from an explosive combination of financial innovation, over-borrowing, and progressive illiquidity of financial structures.
'It would be enough that Anastasia Nesvetailova has brought Hyman Minsky to our attention. But she has done more: she offers a vibrant and controversial reading of why today's global financial system is unstable and prone to crisis. This is an original work that challenges how we should think about global finance. It will be read and engaged with by anyone who seeks a deep knowledge of one of the most important elements of our contemporary global political economy.' - Randall Germain, Associate Professor, Carleton University, Canada
'All observers of global finance sense its unstable foundations. In Fragile Finance, Anastasia Nesvetailova takes us to the heart of debates about this concern. Drawing on a range of case studies and theories, especially the work of Hyman Minsky, she provides a compelling argument that illiquidity remains an ever-present threat, despite the huge volumes of financial transactions. This is essential reading for students and practitioners of global finance, although they may find its message disturbing.' - Dick Bryan, Associate Professor of Political Economy, University of Sydney, Australia and author of Capitalism with Derivatives: A Political Economy of Financial Derivatives, Capital and Class.
'The book explains why governments struggle to stay 'in control' using combinations of regulation or deregulation, and interest and currency exchange rates...To form your own opinion, I recommend that you read this book. It is packed with facts and is cross-referenced to a large bibliography...' - Albert Elder, Accounting Technician
Autorentext
ANASTASIA NESVETAILOVA is Lecturer in International Political Economy at City University, London, UK. Her research work focuses on the themes of global financial fragility and crises; the formation of financial and monetary policies; and process of capitalist evolution in Russia and other FSU countries.
Inhalt
Introduction The Rise of Fragile Finance A Theory of Fragile Finance Keynesian and Heterodox Theories of Financial Crises Hyman Minsky and Fragile Finance Dilemmas and Paradoxes of Fragile Finance The East Asian Crisis: A Minskyan View Ponzi Capitalism Russian-Style Ponzi Finance Goes Global Conclusion
Weitere Informationen
- Allgemeine Informationen
- GTIN 09781349282722
- Lesemotiv Verstehen
- Genre Economy
- Auflage 1st ed. 2007
- Anzahl Seiten 190
- Herausgeber Springer Palgrave Macmillan
- Größe H11mm x B140mm x T216mm
- Jahr 2007
- EAN 9781349282722
- Format Kartonierter Einband
- ISBN 978-1-349-28272-2
- Titel Fragile Finance
- Autor A. Nesvetailova
- Untertitel Debt, Speculation and Crisis in the Age of Global Credit
- Gewicht 264g
- Sprache Englisch