International Bond Markets (Routledge Revivals)

International Bond Markets (Routledge Revivals)
Author: David H. Gowland
Publisher: Routledge
Total Pages: 185
Release: 2013-10-08
Genre: Business & Economics
ISBN: 1135009406

First published in 1990, International Bond Markets analyses how the markets in public-sector debt have developed and how they operate in a number of countries, including those with chronic budget deficits. Alongside a detailed introduction to government borrowing, chapters consider the bond markets and debt management systems of the U.S.A., Japan, France, Italy and the U.K. With governments around the world struggling to manage their huge deficits, this is a particularly relevant title to students observing the current global economic situation, and those with a general interest in public debt management and bond markets.

International Bond Markets (Routledge Revivals)

International Bond Markets (Routledge Revivals)
Author: David Gowland
Publisher: Routledge
Total Pages: 208
Release: 2013-10-08
Genre: Business & Economics
ISBN: 1135009414

First published in 1990, International Bond Markets analyses how the markets in public-sector debt have developed and how they operate in a number of countries, including those with chronic budget deficits. Alongside a detailed introduction to government borrowing, chapters consider the bond markets and debt management systems of the U.S.A., Japan, France, Italy and the U.K. With governments around the world struggling to manage their huge deficits, this is a particularly relevant title to students observing the current global economic situation, and those with a general interest in public debt management and bond markets.

Kuwait (Routledge Revival)

Kuwait (Routledge Revival)
Author: Middle East Research Institute
Publisher: Routledge
Total Pages: 204
Release: 2015-07-24
Genre: Social Science
ISBN: 1317450116

First published in 1985, this study, focusing on Kuwait, looks at the underlying reasons why certain political, economic and social events have taken place in the country’s history. It provides vital analysis of the political and economic issues of the country, and those that have affected it, as well as providing statistical material on all the key data of the political economy. The book was originally published as part of the Middle East Research Institute (MERI) Reports on the Middle East which quickly established themselves as the most authoritative and up-to-date information on the state of affairs in the region.

Middle East Research Institute Reports (Routledge Revivals)

Middle East Research Institute Reports (Routledge Revivals)
Author: Middle East Research Institute
Publisher: Routledge
Total Pages: 212
Release: 2021-02-25
Genre: Social Science
ISBN: 1317448723

First published in 1985, the Middle East Research Institute (MERI) Reports on the Middle East quickly established themselves as the most authoritative and up-to-date information on the state of affairs in the region. The books provide vital analysis of the political and economic issues affecting the countries involved at the time. This reissue set covers topics including political structure, risks to stability, planning and public policy, finance, defence and agriculture in Israel, Turkey, Iran, Egypt, United Arab Emirates and Kuwait.

The Enduring Legacies of the Global Financial Crisis in East Asia

The Enduring Legacies of the Global Financial Crisis in East Asia
Author: Iain Pirie
Publisher: Taylor & Francis
Total Pages: 169
Release: 2024-07-25
Genre: Political Science
ISBN: 1040107656

The Enduring Legacies of the Global Financial Crisis in East Asia challenges the assumption that the global financial crisis had a limited structural impact on East Asian political economies, arguing that the crisis has led to a significant, if uneven, reorganization of major national political economies within the region where, in response to the crisis, states have promoted domestic processes of financialization as a means of stimulating their economies. The major East Asian economies, bar Japan, enjoyed strong recoveries from the 2008–2009 financial crisis. However, this success has been achieved by promoting domestic processes of financialization to maintain demand – more precisely, the rapid build-up of household debt (Malaysia, Korea, Taiwan, China) and asset price bubbles (China, Japan). In short, East Asia has employed precisely those practices that the global financial crisis itself illustrated the unsustainability of, to maintain growth. Using a post-Keynesian framework, the book argues that the dependency on these forms of financialization to support demand is a direct product of a failure to address the issue of inequality. High levels of inequality slow the growth of non-debt-based domestic consumption. An alternative approach to supporting demand in the post-crisis period would need to focus on progressive redistribution through strengthening of labour rights and systems of social support, which would directly challenge the interests of economic and political elites. The structural vulnerabilities that accelerated financialization is creating in East Asia demonstrate the necessity of a post-Keynesian growth strategy based on redistribution and curbing financialization. The book also argues that in certain Northeast Asian economies the crisis has led to a consolidation of systems of industrial activism/state control, which could have occurred without accelerated financialization, and vice versa. This book will be of great interest to students and scholars of political economy and Asian studies.

Governments, Banks and Global Capital

Governments, Banks and Global Capital
Author: Miroslava Filipović
Publisher: Routledge
Total Pages: 248
Release: 2018-12-20
Genre: Business & Economics
ISBN: 0429851715

Published in 1997, this study analyzes the global capital market as one of the most dynamic aspects of the world economy. As more financial markets were created, the security of the structure came under scrutiny. The book examines the crises in its history and how the global structure can be regulated.

The Re-Emergence of Global Finance

The Re-Emergence of Global Finance
Author: G. Burn
Publisher: Springer
Total Pages: 243
Release: 2006-04-19
Genre: Business & Economics
ISBN: 0230501591

Gary Burn examines how in 1950s London, City bankers invented a new form of money and escaped offshore, beyond the jurisdiction of monetary authority. This is the story of the Eurodollar and the re-emergence of global capital. It tells how the City discarded sterling and reclaimed its historic role as the world's foremost financial centre.

A Banker's World

A Banker's World
Author: Sir George Lewis French Bolton
Publisher: Taylor & Francis US
Total Pages: 236
Release: 2006
Genre: Banks and banking
ISBN: 9780415382045

The Scourge of Europe (Routledge Revivals)

The Scourge of Europe (Routledge Revivals)
Author: L. V. Birck
Publisher: Routledge
Total Pages: 315
Release: 2014-06-17
Genre: Business & Economics
ISBN: 1317807235

Written during the early 1920s, at a time when Europe was still recovering from the catastrophe of the First World War, L.V. Birck’s The Scourge of Europe examines the economic issues surrounding the existence of public debt, its history, and possible approaches to problems associated with public debt as they were being pursued by the great powers of the time. Birck’s analysis contains a rigorous theoretical exposition and explanation of public debt as it was understood in the crucial period leading up to the Great Depression. This is then followed by an insightful exploration of the role of public debt in European financial and economic history. Finally, some reflections on the policies of England, the United States, France and Germany in the latter part of the nineteenth and early-twentieth centuries are included. This book will appeal to economic and financial historians, as well as to those generally interested in European policies towards debt from the Middle Ages to modern times.

International Money

International Money
Author: Charles P. Kindlerberger
Publisher: Routledge
Total Pages: 352
Release: 2013-11-05
Genre: Business & Economics
ISBN: 1136610790

This book was first published in 1981. A collection of twenty-two papers, written between 1966 and 1976 on international monetary relations.