內容簡介

Twenty contributions explore how complexity analysis can inform the measurement of risk in financial instruments and systems, update recent financial market integration, assess the impact of monetary policy and liquidity in the post-crisis environment, and examine the relationship between monetary policy and bank lending. The last four chapters identify specific market risks in Hong Kong, Turkey, Brazil, and Pakistan, highlighting the importance of institutional structure in mitigating these risks. Annotation ©2015 Ringgold, Inc., Portland, OR (protoview.com)
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