Global Financial Systems: Stability & Risk: Stability and Risk
Language: English
Published by Pearson, 2013
- First Edition
- Softcover
- Used

Seller: Amnesty Bookshop, Bristol, Bristol, United KingdomAmnesty Bookshop, Bristol
AbeBooks seller since August 2, 2002
Condition: Used - Very good
US$ 27.30
Quantity: 1 available
Add to basketItem description from seller
In a laminated soft cover with blue, black and white titles to spine and red, black and white titles to front. 440 pp. The book is in very good condition. There is very minor shelf-wear to the extremities of the cover and slight sunning of the top of the front. The binding is tight and the pages clean and unmarked.
Seller Inventory # 914700
- Title
- Global Financial Systems: Stability & Risk: Stability and Risk
- Author
- Danielsson, Jon
- Publisher
- Pearson
- Publication year
- 2013
- Condition
- Very Good
- Dust jacket
- No Jacket
- Binding
- Soft cover
- Language
- English
- ISBN 10
- 0273774662
- ISBN 13
- 9780273774662
- Edition
- 1st Edition
- Dimensions
- 8vo - over 7¾ - 9¾" tall
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.
"Nicely and clearly written for an undergraduate audience…the book has a fresh perspective that will differentiate it from pre-crisis texts"
Professor Goodhart, Professor Emeritus, London School of Economics
"Global Financial Systems: Stability and Risk, looks to be an important book… it will appeal to those interested in regulation as well as those more on the regulatory side."
Professor Caprio, William Brough Professor of Economics at Williams College and Chair, Center for Development Economics
Jon Danielsson is Director of the Systemic Risk Centre, London School of Economics, and Reader in Finance
Visit the author's personal website at http://www.globalfinancialsystems.org/ to read two online chapters covering the latest developments.
"Synopsis" may belong to another edition of this title.
From the Back Cover
Global Financial Systems: Stability and Risk
Jon Danielsson
- Under what circumstances have we achieved financial stability?
- Which previous crises inform the current ones and in what way?
- What are the common themes and lessons for policy, regulation and financial theory?
Global Financial Systems: Stability and Risk is an innovative textbook that explores the ‘why’ behind global financial stability, providing insightful discussions on the international financial system and the contemporary issues of today. Drawing on economic theory, finance, mathematical modelling and risk theory, this book presents a comprehensive, coherent and current economic analysis of the inherent instabilities of the financial system, and the design of optimal policy response.
Key features
- Up-to-date and thorough analysis of the 2007/08 financial crisis.
- News articles and journal excerpts are used throughout to frame the issues in each chapter.
- Case studies and practical examples illustrate key arguments and apply the theory to the real world.
- Chapter-end questions provoke discussion and critical thinking, and provide opportunities to test your understanding.
- An Instructor Resource Centre including PowerPoint slides, plus an author-hosted website featuring regular updates on current events in the global financial system and links to useful websites.
Jon Danielsson is Director of the Systemic Risk Centre, London School of Economics, and Reader in Finance.
"About the title" may belong to another edition of this title.
Amnesty Bookshop, Bristol
Bristol, United Kingdom
AbeBooks seller since August 2, 2002
Shipping rates from United Kingdom to U.S.A.
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