Author: Robert Guttmann
Publisher: Routledge
ISBN: 1315285355
Category : Business & Economics
Languages : en
Pages : 498
Book Description
This work provides a guide to money and finance. The second edition highlights the changes that have taken place in the period since 1988, including the banking crises of the early 1990s.
Reforming Money and Finance
Author: Robert Guttmann
Publisher: Routledge
ISBN: 1315285355
Category : Business & Economics
Languages : en
Pages : 498
Book Description
This work provides a guide to money and finance. The second edition highlights the changes that have taken place in the period since 1988, including the banking crises of the early 1990s.
Publisher: Routledge
ISBN: 1315285355
Category : Business & Economics
Languages : en
Pages : 498
Book Description
This work provides a guide to money and finance. The second edition highlights the changes that have taken place in the period since 1988, including the banking crises of the early 1990s.
Reforming Money and Finance
Author: Robert Guttmann
Publisher: Routledge
ISBN:
Category : Business & Economics
Languages : en
Pages : 360
Book Description
This collection of articles from Challenge magazine and other sources surveys the key questions of monetary policy, financial instability the legacy of stagflation and international relations. An examination of how regulatory reform has combined with Reaganomics is also discussed.
Publisher: Routledge
ISBN:
Category : Business & Economics
Languages : en
Pages : 360
Book Description
This collection of articles from Challenge magazine and other sources surveys the key questions of monetary policy, financial instability the legacy of stagflation and international relations. An examination of how regulatory reform has combined with Reaganomics is also discussed.
Money and Debt: The Public Role of Banks
Author: Bart Stellinga
Publisher: Springer Nature
ISBN: 3030702502
Category : Banks and banking, Central
Languages : en
Pages : 257
Book Description
This Open Access book from the Netherlands Scientific Council for Government Policy explains how money creation and banking works, describes the main problems of the current monetary and financial system and discusses several reform options. This book systematically evaluates proposals for fundamental monetary reform, including ideas to separate money and credit by breaking up banks, introducing a central bank digital currency, and introducing public payment banks. By drawing on these plans, the authors suggest several concrete reforms to the current banking system with the aim to ensure that the monetary system remains stable, contributes to the Dutch economy, fairly distributes benefits, costs and risks, and enjoys public legitimacy. This systematic approach, and the accessible way in which the book is written, allows specialized and non-specialised readers to understand the intricacies of money, banking, monetary reform and financial innovation, far beyond the Dutch context [Resumen de la editorial]
Publisher: Springer Nature
ISBN: 3030702502
Category : Banks and banking, Central
Languages : en
Pages : 257
Book Description
This Open Access book from the Netherlands Scientific Council for Government Policy explains how money creation and banking works, describes the main problems of the current monetary and financial system and discusses several reform options. This book systematically evaluates proposals for fundamental monetary reform, including ideas to separate money and credit by breaking up banks, introducing a central bank digital currency, and introducing public payment banks. By drawing on these plans, the authors suggest several concrete reforms to the current banking system with the aim to ensure that the monetary system remains stable, contributes to the Dutch economy, fairly distributes benefits, costs and risks, and enjoys public legitimacy. This systematic approach, and the accessible way in which the book is written, allows specialized and non-specialised readers to understand the intricacies of money, banking, monetary reform and financial innovation, far beyond the Dutch context [Resumen de la editorial]
Sequencing Financial Sector Reforms
Author: International Monetary Fund
Publisher: International Monetary Fund
ISBN: 9781557757791
Category : Business & Economics
Languages : en
Pages : 412
Book Description
Financial sector liberalization can spur economic growth and development, but reforms to liberalize the financial sector can also entail risks if they are not properly designed and implemented. One of the central questions for countries reforming their financial systems is how to sequence the reforms so as to maximize the benefits of liberalization and contain its risks. Edited by R. Barry Johnston and V. Sundararajan of the IMF's Monetary and Exchange Affairs Department, this book attempts to answer this and related questions by drawing lessons from financial sector reforms in selected countries. In particular, the book surveys financial sector reforms in Indonesia, Thailand, and Korea between the mid-1980s and mid-1990s.
Publisher: International Monetary Fund
ISBN: 9781557757791
Category : Business & Economics
Languages : en
Pages : 412
Book Description
Financial sector liberalization can spur economic growth and development, but reforms to liberalize the financial sector can also entail risks if they are not properly designed and implemented. One of the central questions for countries reforming their financial systems is how to sequence the reforms so as to maximize the benefits of liberalization and contain its risks. Edited by R. Barry Johnston and V. Sundararajan of the IMF's Monetary and Exchange Affairs Department, this book attempts to answer this and related questions by drawing lessons from financial sector reforms in selected countries. In particular, the book surveys financial sector reforms in Indonesia, Thailand, and Korea between the mid-1980s and mid-1990s.
Reforming the Global Financial Architecture
Author: Yilmaz Akyuz
Publisher: Zed Books
ISBN: 9781842771556
Category : Business & Economics
Languages : en
Pages : 176
Book Description
Instability has become global and systemic. Strengthening international institutions and arrangements would reduce the threat of crises and allow those that do occur to be better managed. These proposals take the developing world into account.
Publisher: Zed Books
ISBN: 9781842771556
Category : Business & Economics
Languages : en
Pages : 176
Book Description
Instability has become global and systemic. Strengthening international institutions and arrangements would reduce the threat of crises and allow those that do occur to be better managed. These proposals take the developing world into account.
Financial Reform
Author: Gerard Caprio
Publisher: Cambridge University Press
ISBN: 9780521574242
Category : Business & Economics
Languages : en
Pages : 502
Book Description
This study is the first to look at the analytics of and experience with financial reform, in examples drawn mostly from the developing world.
Publisher: Cambridge University Press
ISBN: 9780521574242
Category : Business & Economics
Languages : en
Pages : 502
Book Description
This study is the first to look at the analytics of and experience with financial reform, in examples drawn mostly from the developing world.
Reforming Finance in Transitional Socialist Economies
Author: Gerard Caprio
Publisher: World Bank Publications
ISBN:
Category : Bank loans
Languages : en
Pages : 44
Book Description
Publisher: World Bank Publications
ISBN:
Category : Bank loans
Languages : en
Pages : 44
Book Description
Financial Innovations and Monetary Reform
Author: Jean-François Serval
Publisher: Springer Nature
ISBN: 3031241894
Category : Business & Economics
Languages : en
Pages : 212
Book Description
Written by two leading experts on multinational accounting and billion-dollar international investment funds, this book provides a framework for a global reform of the world monetary system, and defines a decidedly new approach to dealing with public debt mortgage, an issue that we can see in many countries in Europe and around the world. The authors put forward a proposal for transforming sterile financial masses, which are withdrawn from the real economy as they no longer bear interest, into wealth. To facilitate this return to the real economy, the authors propose that a significant share of public debt be converted into net equities in the world of business and goods production in order to find new profitable investment projects. The idea is bold, and the authors strive to demonstrate its technical feasibility. They are convinced that this approach can accompany and enhance a movement that has already begun, namely the implementation of vast national and international investment programs in major infrastructures and research projects in innovative sectors. This work builds on the authors’ two previous books, which focus on the monetary system. The first, published in 2010 and including a foreword by former French Finance Minister Christine Lagarde, analyzes the new virtual dimension of money. The second, published in 2014, puts forward an innovative proposal for a new financial regulation aimed at more stable economies. This third book is intended for professionals in the financial industry, including decision makers at banks, accounting and private equity firms, as well as policymakers at central banks and government institutions involved in the implementation of financial and monetary reforms.
Publisher: Springer Nature
ISBN: 3031241894
Category : Business & Economics
Languages : en
Pages : 212
Book Description
Written by two leading experts on multinational accounting and billion-dollar international investment funds, this book provides a framework for a global reform of the world monetary system, and defines a decidedly new approach to dealing with public debt mortgage, an issue that we can see in many countries in Europe and around the world. The authors put forward a proposal for transforming sterile financial masses, which are withdrawn from the real economy as they no longer bear interest, into wealth. To facilitate this return to the real economy, the authors propose that a significant share of public debt be converted into net equities in the world of business and goods production in order to find new profitable investment projects. The idea is bold, and the authors strive to demonstrate its technical feasibility. They are convinced that this approach can accompany and enhance a movement that has already begun, namely the implementation of vast national and international investment programs in major infrastructures and research projects in innovative sectors. This work builds on the authors’ two previous books, which focus on the monetary system. The first, published in 2010 and including a foreword by former French Finance Minister Christine Lagarde, analyzes the new virtual dimension of money. The second, published in 2014, puts forward an innovative proposal for a new financial regulation aimed at more stable economies. This third book is intended for professionals in the financial industry, including decision makers at banks, accounting and private equity firms, as well as policymakers at central banks and government institutions involved in the implementation of financial and monetary reforms.
The Road to Financial Reformation
Author: Henry Kaufman
Publisher: John Wiley & Sons
ISBN: 0470539941
Category : Business & Economics
Languages : en
Pages : 288
Book Description
Our financial crisis: what happened, how we got here, and what needs to be done Henry Kaufman-an esteemed economist and statesman-is one of the most preeminent financial figures of the day, with a history of success from the 1980s, when his firm, Salomon Brothers, ruled the bond markets. In The Road to Financial Reformation, Dr. Kaufman, who has spent a lifetime entrenched in the world of finance, provides an insightful account of the history and impact of post-World War II financial markets on the economy-what happened, how we got to where we are today, and what needs to be done. Drawing on his vast breadth of knowledge and experience, Kaufman reveals the mistakes that got us into this debacle, the consequences-as they have not been fully realized-and how to put our derailed economy back on track. This book details Dr. Kaufman's warnings and concerns expressed repeatedly throughout the last quarter century, and shows that what he predicted came to pass. Provides an insightful account of the history and impact of post-World War II financial markets on the economy Explores the erosion of credit ratings on corporate debt in the late 1980s and the rapid increase in financial concentration of institutions Discusses the blinding faith in models that rely on historical data but fail to take into account economic and financial market structural changes With his breadth of knowledge and experience, Kaufman details that this crisis was foreseeable (he saw it coming), and how we created this history-making financial crisis. He also explains the consequences still to come, and presents solutions on how we can recover and reform the markets.
Publisher: John Wiley & Sons
ISBN: 0470539941
Category : Business & Economics
Languages : en
Pages : 288
Book Description
Our financial crisis: what happened, how we got here, and what needs to be done Henry Kaufman-an esteemed economist and statesman-is one of the most preeminent financial figures of the day, with a history of success from the 1980s, when his firm, Salomon Brothers, ruled the bond markets. In The Road to Financial Reformation, Dr. Kaufman, who has spent a lifetime entrenched in the world of finance, provides an insightful account of the history and impact of post-World War II financial markets on the economy-what happened, how we got to where we are today, and what needs to be done. Drawing on his vast breadth of knowledge and experience, Kaufman reveals the mistakes that got us into this debacle, the consequences-as they have not been fully realized-and how to put our derailed economy back on track. This book details Dr. Kaufman's warnings and concerns expressed repeatedly throughout the last quarter century, and shows that what he predicted came to pass. Provides an insightful account of the history and impact of post-World War II financial markets on the economy Explores the erosion of credit ratings on corporate debt in the late 1980s and the rapid increase in financial concentration of institutions Discusses the blinding faith in models that rely on historical data but fail to take into account economic and financial market structural changes With his breadth of knowledge and experience, Kaufman details that this crisis was foreseeable (he saw it coming), and how we created this history-making financial crisis. He also explains the consequences still to come, and presents solutions on how we can recover and reform the markets.
Free Banking and Monetary Reform
Author: David Glasner
Publisher: Cambridge University Press
ISBN: 0521361753
Category : Business & Economics
Languages : en
Pages : 296
Book Description
This book boldly challenges the conventional view that the state must play a dominant role in the monetary system.
Publisher: Cambridge University Press
ISBN: 0521361753
Category : Business & Economics
Languages : en
Pages : 296
Book Description
This book boldly challenges the conventional view that the state must play a dominant role in the monetary system.