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The Economics of the Financial Crisis
Details
Through the tools of economics, Annunziata's vivid and gripping book shows how the global financial crisis was caused by a failure of leadership and common sense in which we all played a role. The insights of this clear and compelling analysis are essential for learning the right lessons from the crisis, and seeing new threats around the corner.
Autorentext
MARCO ANNUNZIATA is the Chief Economist of General Electric. A member of the ECB's Shadow Council and the European Council of Economists, he has been featured on Bloomberg, CNBC, and in the Financial Times and the Wall Street Journal. He has spent 16 years between the IMF and the private financial sector.
Inhalt
PART I: A BRIEF HISTORY OF SCARY TIMES Introduction: From Hubris to Humble Pie How Did We Get There? The Earthquake PART II: GLOBALIZATION: HOPES, FEARS AND SHIFTING POWERS Asia Fuels Hopes and Fears No Man is an Island: International Policy CoordinationAccident or Design? European Hubris PART III: LESSONS RIGHT AND WRONG Deflation, Quantitative Easing, and the Money Multiplier Has Capitalism Failed? The Dangerous Temptation of Scapegoating and the Debate on Ethics PART IV: THE WAY FORWARD The Eurozone's Existential Challenge Exit Conclusion
Weitere Informationen
- Allgemeine Informationen
- GTIN 09780230282810
- Genre Business Administration
- Sprache Englisch
- Lesemotiv Verstehen
- Anzahl Seiten 231
- Herausgeber SPRINGER VERLAG GMBH
- Größe H229mm x B152mm
- Jahr 2011
- EAN 9780230282810
- Format Fester Einband
- ISBN 978-0-230-28281-0
- Veröffentlichung 13.09.2011
- Titel The Economics of the Financial Crisis
- Autor Marco Annunziata
- Untertitel Lessons and New Threats
- Gewicht 506g