Debt, the IMF, and the World Bank

Debt, the IMF, and the World Bank
Author: Eric Toussaint
Publisher: NYU Press
Total Pages: 372
Release: 2010-09-01
Genre: Political Science
ISBN: 1583674985

Mainstream economists tell us that developing countries will replicate the economic achievements of the rich countries if they implement the correct “free-market”policies. But scholars and activists Toussaint and Millet demonstrate that this is patently false. Drawing on a wealth of detailed evidence, they explain how developed economies have systematically and deliberately exploited the less-developed economies by forcing them into unequal trade and political relationships. Integral to this arrangement are the international economic institutions ostensibly created to safeguard the stability of the global economy—the International Monetary Fund (IMF) and the World Bank—and the imposition of massive foreign debt on poor countries. The authors explain in simple language, and ample use of graphics, the multiple contours of this exploitative system, its history, and how it continues to function in the present day. Ultimately, Toussaint and Millet advocate cancellation of all foreign debt for developing countries and provide arguments from a number of perspectives—legal, economic, moral. Presented in an accessible and easily-referenced question and answer format, Debt, the IMF, and the World Bank is an essential tool for the global justice movement.

Monthly Review

Monthly Review
Author: New York Stock Exchange
Publisher:
Total Pages: 780
Release: 1920
Genre: Stock exchanges
ISBN:

Monthly Review

Monthly Review
Author: Rotterdamsche Bankvereeniging
Publisher:
Total Pages: 334
Release: 1928
Genre: Finance
ISBN:

Money and Banking in the UK

Money and Banking in the UK
Author: Michael Collins
Publisher: Routledge
Total Pages: 658
Release: 2012-05-25
Genre: Business & Economics
ISBN: 0415527961

This book is concerned with developments in three main areas of monetary history: domestic commercial banking; monetary policy; and the UK's international financial position. For ease of analysis the 160 years under study are arranged into three clear chronological divisons. Part 1 covers the years 1826-1913, a period in which the UK emerged as the world's leading economic power. Part 2 covers 1914 to 1939 - the years which marked a break in the traditional monetary arrangements of the Victorian and Edwardian eras. Part 3 covers 1939-1986 when the dominance of state influence within the domestic money markets was re-established by the Second World War and the acceptance by the authorities of the obligation to 'manage' the economy which meant that successive postwar governments took direct responsibility for the conduct of monetary and credit policy.

Money and Banking in the UK (RLE: Banking & Finance)

Money and Banking in the UK (RLE: Banking & Finance)
Author: Michael Collins
Publisher: Routledge
Total Pages: 657
Release: 2012-09-11
Genre: Business & Economics
ISBN: 1136301615

This book is concerned with developments in three main areas of monetary history: domestic commercial banking; monetary policy; and the UK’s international financial position. For ease of analysis the 160 years under study are arranged into three clear chronological divisons. Part 1 covers the years 1826-1913, a period in which the UK emerged as the world’s leading economic power. It was in these years that an extensive and fully-operative domestic banking system was established. Part 2 covers 1914 to 1939 – the years which marked a break in the traditional monetary arrangements of the Victorian and Edwardian eras. Part 3 covers 1939-1986 when the dominance of state influence within the domestic money markets was re-established by the Second World War and the acceptance by the authorities of the obligation to ‘manage’ the economy which meant that successive postwar governments took direct responsibility for the conduct of monetary and credit policy.