Global finance at risk: the case for international regulation

By: Material type: TextTextPublication details: 2000 Polity Press UKDescription: xiii,258p 22cm; PbkISBN:
  • 978-0754625119
Subject(s):
Contents:
1. The privatization of risk -- 2. Liberalized capital markets and global economic performance -- 3. Exchange rates and capital controls -- 4. Developed countries and the new financial order -- 5. Developing countries and the new financial order -- 6. Regulation on a global scale -- 7. A world financial authority.
Summary: In Global Finance at Risk, two acclaimed economists propose a bold and much-needed solution to the financial crises that threaten us all: a World Financial Authority with powers to establish worldwide best-practice financial regulation and risk management
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Item type Current library Collection Call number Status Date due Barcode
Books Books H.T. Parekh Library GSB Collection 332.042 EAT (Browse shelf(Opens below)) Available 22897

1. The privatization of risk --
2. Liberalized capital markets and global economic performance --
3. Exchange rates and capital controls --
4. Developed countries and the new financial order --
5. Developing countries and the new financial order --
6. Regulation on a global scale --
7. A world financial authority.

In Global Finance at Risk, two acclaimed economists propose a bold and much-needed solution to the financial crises that threaten us all: a World Financial Authority with powers to establish worldwide best-practice financial regulation and risk management

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