Emerging Markets and the Global Economy (ePub)
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Emerging Markets and the Global Economy investigates analytical techniques suited to emerging market economies, which are typically prone to policy shocks. Despite the large body of emerging market finance literature, their underlying dynamics and interactions with other economies remain challenging and mysterious because standard financial models measure them imprecisely.
Describing the linkages between emerging and developed markets, this collection systematically explores several crucial issues in asset valuation and risk management. Contributors present new theoretical constructions and empirical methods for handling cross-country volatility and sudden regime shifts. Usually attractive for investors because of the superior growth they can deliver, emerging markets can have a low correlation with developed markets. This collection advances your knowledge about their inherent characteristics.
Foreword by Ali M. Kutan
- Concentrates on post-crisis roles of emerging markets in the global economy
- Reports on key theoretical and technical developments in emerging financial markets
- Forecasts future developments in linkages among developed and emerging economies
Associate Professor of Finance, Champage School of Management and University of Paris Est, France
Professor of Finance and Deputy Director for Research at IPAG Business School (France).
- 2013, 928 Seiten, Englisch
- Herausgegeben: Mohamed El Hedi Arouri, Sabri Boubaker, Duc Khuong Nguyen
- Verlag: Elsevier Science & Techn.
- ISBN-10: 0124115632
- ISBN-13: 9780124115637
- Erscheinungsdatum: 26.12.2013
Abhängig von Bildschirmgrösse und eingestellter Schriftgrösse kann die Seitenzahl auf Ihrem Lesegerät variieren.
- Dateiformat: ePub
- Grösse: 28 MB
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Foreword by Ali M. Kutan
"With expectations of changes in U.S. Federal Reserve quantitative easing (QE) policies, linkages among financial markets and their effects on emerging markets become again of interest. This Handbook covers this area of research, including new perspectives on spillovers between commodity and stock markets using recent advances in financial econometrics."--Andre Mollick, University of Texas
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