Published by Pearson (July 4, 2013) © 2013

Jon Danielsson
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    ISBN-13: 9780273774716R365

    Global Financial Systems ,1st edition

    Language: British English

    Global Financial Systems is an innovative, interdisciplinary text that explores the ‘why’ behind global financial stability. Danielsson draws on economic theory, finance, mathematical modelling, risk theory, and policy to posit a coherent and current analysis of the global financial system.

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    • 1 Systemic risk
    • 2 The Great Depression 1929–1933
    • 3 Endogenous risk
    • 4 Liquidity
    • 5 The central bank
    • 6 The Asian Crisis of 1997 and the IMF
    • 7 Banking crises
    •  8 Bank runs and deposit insurance
    • 9 Trading and Speculation
    • 10 Credit markets
    •  11 Currency markets
    •  12 Currency crisis models
    • 13 Financial regulations
    • 14 Bailouts
    • 15 Dangerous financial instruments
    • 16 Failures in risk management and regulations before the crisis
    • 17 The ongoing crisis: 2007–2009 phase
    • 18 Ongoing developments in financial regulation
    • 19 Sovereign debt crises