Managing Economic Volatility and Crises (Paperback)

Language: English

Published by Cambridge University Press, Cambridge, 2011

0521168597 / 9780521168595

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Paperback. Economic volatility has come into its own after being treated for decades as a secondary phenomenon in the business cycle literature. This evolution has been driven by the recognition that non-linearities, long buried by the economist's penchant for linearity, magnify the negative effects of volatility on long-run growth and inequality, especially in poor countries. This collection organizes empirical and policy results for economists and development policy practitioners into four parts: basic features, including the impact of volatility on growth and poverty; commodity price volatility; the financial sector's dual role as an absorber and amplifier of shocks; and the management and prevention of macroeconomic crises. The latter section includes a cross-country study, case studies on Argentina and Russia, and lessons from the debt default episodes of the 1980s and 1990s. This collection explores the phenomenon of economic volatility, which studies show had adverse effects on long-run growth, especially in poor countries. Its contribution is to bring together concepts, empirical results, and policy recommendations in the field in economics. This item is printed on demand. Shipping may be from our UK warehouse or from our Australian or US warehouses, depending on stock availability.…

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Title
Managing Economic Volatility and Crises (Paperback)
Author
Joshua Aizenman
Publisher
Cambridge University Press, Cambridge
Publication year
2011
Condition
new
Binding
Paperback
Language
English
ISBN 10
0521168597
ISBN 13
9780521168595

CitiRetail

Stevenage, United Kingdom

5-star seller

AbeBooks seller since June 29, 2022

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