Financial Markets and the Macroeconomy

Financial Markets and the Macroeconomy

AngličtinaPevná vazbaTisk na objednávku
Chiarella Carl
Taylor & Francis Ltd
EAN: 9780415771009
Tisk na objednávku
Předpokládané dodání v pátek, 20. prosince 2024
4 527 Kč
Běžná cena: 5 030 Kč
Sleva 10 %
ks
Chcete tento titul ještě dnes?
knihkupectví Megabooks Praha Korunní
není dostupné
Librairie Francophone Praha Štěpánská
není dostupné
knihkupectví Megabooks Ostrava
není dostupné
knihkupectví Megabooks Olomouc
není dostupné
knihkupectví Megabooks Plzeň
není dostupné
knihkupectví Megabooks Brno
není dostupné
knihkupectví Megabooks Hradec Králové
není dostupné
knihkupectví Megabooks České Budějovice
není dostupné
knihkupectví Megabooks Liberec
není dostupné

Podrobné informace

The financial instability and its spillover to the real sector have become a great challenge to macro-economic theory. The book takes a Keynesian theoretical perspective, representing an attempt to revive what Keynes stressed in his General Theory, namely the role of the financial market in macroeconomic outcomes. Although this book is inspired and motivated by the Asian currency and financial crises in the years 1997-8 and the experiences of the currently evolving U.S. financial disruptions, it also focuses on reviving a modeling tradition that provides a theoretical framework that throws light on recent financial market episodes and disturbances and their macroeconomic effects.

It brings to the forefront, as Keynes has suggested, the role of financial market stability for growth and macroeconomics. It criticizes theories that see economic disruptions and shocks rooted solely in the real side of the economy. It stresses the financial real interaction as the major source for macroeconomic instability and disruptions.

This important new book from a group of Keynesian, but nonetheless technically oriented economists would be of most interest to specialists and graduate students in macroeconomics and financial economics, especially those with an interest in US and European financial markets, emerging market analysis, and dynamic economic modeling.

EAN 9780415771009
ISBN 0415771005
Typ produktu Pevná vazba
Vydavatel Taylor & Francis Ltd
Datum vydání 22. května 2009
Stránky 488
Jazyk English
Rozměry 234 x 156
Země United Kingdom
Sekce Professional & Scholarly
Autoři Chiarella Carl; Flaschel Peter; Franke Reiner; Semmler Willi
Ilustrace 124 Line drawings, black and white; 124 Illustrations, black and white
Série Routledge International Studies in Money and Banking