Kirjojen hintavertailu – 12 903 735 kirjaa ja 27 kauppaa

Kirjailija

Tony Cavoli

Kirjat ja teokset yhdessä paikassa: 3 kirjaa, julkaisuja vuosilta 2009–2022, suosituimpiin kuuluu Complexities of Financial Globalisation. Vertaile teosten hintoja ja tarkista saatavuus suomalaisista kirjakaupoista.

3 kirjaa

Kirjojen julkaisuvuodet: 2009–2022.

Complexities of Financial Globalisation

Complexities of Financial Globalisation

Tony Cavoli; Sasidaran Gopalan; Ramkishen S. Rajan

TAYLOR FRANCIS LTD
2022
nidottu
Since the 1990s, several emerging market and developing economies (EMDEs) have, to varying degrees, embraced the process of financial globalisation, broadly defined as a set of policies that involve allowing for greater openness to cross-border capital flows as well as greater market access to foreign financial institutions. This book provides a systematic empirical analysis on the complex interactions between financial sector development, macroeconomic and financial stability in EMDEs in general and those in the Asian region in particular. The book consists of three sections pertaining to monetary and exchange rate policies under financial globalisation; financial inclusion and macroeconomic policies in the context of financial liberalisation; and finally, the dynamics of foreign direct investment flows and their real impacts in EMDEs. Each of the chapters analyse important economic policy issues of contemporary relevance and is informed by data and rigorous empirical analysis. The book will be appealing to anyone interested in exploring the implications of a key set of issues emanating from financial globalisation on EMDEs in a rigorous but readable manner.
Complexities of Financial Globalisation

Complexities of Financial Globalisation

Tony Cavoli; Sasidaran Gopalan; Ramkishen S. Rajan

Routledge
2020
sidottu
Since the 1990s, several emerging market and developing economies (EMDEs) have, to varying degrees, embraced the process of financial globalisation, broadly defined as a set of policies that involve allowing for greater openness to cross-border capital flows as well as greater market access to foreign financial institutions. This book provides a systematic empirical analysis on the complex interactions between financial sector development, macroeconomic and financial stability in EMDEs in general and those in the Asian region in particular. The book consists of three sections pertaining to monetary and exchange rate policies under financial globalisation; financial inclusion and macroeconomic policies in the context of financial liberalisation; and finally, the dynamics of foreign direct investment flows and their real impacts in EMDEs. Each of the chapters analyse important economic policy issues of contemporary relevance and is informed by data and rigorous empirical analysis. The book will be appealing to anyone interested in exploring the implications of a key set of issues emanating from financial globalisation on EMDEs in a rigorous but readable manner.
Exchange Rate Regimes and Macroeconomic Management  in Asia

Exchange Rate Regimes and Macroeconomic Management in Asia

Tony Cavoli; Ramkishen Rajan

Hong Kong University Press
2009
sidottu
This volume analyzes Asia's postcrisis experience with using monetary policy to manage the resurgence in capital inflows postcrisis. It also examines the theoretical and policy issues associated with international capital flows, the increasing degree of integration of financial markets and exchange rates for emerging Asian economies more generally.