Handbook of Key Global Financial Markets, Institutions, and Infrastructure
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Book Details
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Author: Gerard Caprio Jr.
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Publisher: Academic Press
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Edition: Illustrated
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Binding: Hardcover
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Format: Illustrated
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Number of Pages: 634
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Release Date: 14-12-2012
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ISBN: 9780123978738
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Package Dimensions: 11.0 x 8.5 x 1.5 inches
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Languages: English
About the Book
The Handbook of Key Global Financial Markets, Institutions, and Infrastructure by Gerard Caprio Jr. is a comprehensive guide to understanding the architecture of financial globalization. It takes a two-part approach to explain how the modern, financially-integrated world came to be:
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Historical Overview: The book begins by exploring the history of financial globalization, touching on practices from ancient Rome, Ottoman finance, and Chinese standards, to the early days of corporate practices and efforts to ensure financial stability.
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Financial Infrastructure: It then delves into the core components of the global financial system—markets, institutions, and infrastructure—providing detailed analyses of key elements such as sovereign funds, auditing regulations, loan markets, property rights, compensation practices, and Islamic finance.
Key Features:
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Comprehensive Scope: Covers both the historical context and the structural components of global financial markets.
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Top Scholar Contributions: Substantial articles from leading experts in the field provide authoritative and detailed information.
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International Perspectives: The book features diverse global viewpoints, enriching research and analysis opportunities.
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Relevance for Future Research: The rapidly evolving topics discussed make it an essential resource for future inquiries into global finance.
Reviews:
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Reference and Research Book News praised the book for its thorough examination of the roots and current elements of financial globalization.
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Richard Steckel, Ohio State University, commended the volume as an excellent resource for investors, analysts, and policy makers, especially during financial turmoil.
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Jonathan A. Batten, Hong Kong University, noted that the book offers valuable historical insights that are crucial for understanding the financial crises and government bailouts that have occurred repeatedly in history.
This book is an invaluable resource for anyone looking to understand the intricacies of global finance and its historical evolution, with implications for policymakers, researchers, and students of financial markets.