Extent:
Online-Ressource (XIII, 355 p)
online resource
Type of publication: Book / Working Paper
Language: English
Notes:
I - History and Background1. Managing Financial Crises: Who’s In Charge? -- II - European Union and Other Regional Exchange Rate Arrangements -- 2. Monetary Unions In Europe -- 3. Financial Crisis Management in The EU/ERM -- 4. Italy: Two Foreign Exchange Crises -- 5. The Single Currency as A Stabilizing Factor in International Relations: A French View -- 6. EMU and the Swiss Franc -- 7. Exchange Rate and Economic Policy in Three Regional Blocs: The EU, The GCC and The CFA -- III - The Mexican Crises and the Tequila Effect -- 8. The Mexican Financial Crisis of 1994-95: An Asymmetric Information Analysis -- 9. The Argentine Banking Panic After The “Tequila” Shock: Did “Convertibility” Help Or Hurt? -- IV - The Transforming Economies -- 10. The Consolidation Of Russian Banking: The Big Picture -- 11. Managing Financial Turbulence: Czech Experience -- 12. Stabilization Without Recession: The Succcess Of A Long Awaited Financial Adjustment In Hungary -- V - Special Topics: Public Debt and War -- 13. Self-Fulfilling Public Debt Crises -- 14. The Impact Of The Iraqi Invasion On The Kuwaiti Banking And Financial System: Lessons Learned From A Financial Crisis -- VI - The Role of the IMF -- 15. Financial Crisis Management And The Role Of The IMF: 1970-1995 -- 16. The Role Of The International Monetary Fund In Promoting Stability In The Global Economy -- VII - Summary And Conclusions -- Summary And Conclusions.
ISBN: 978-94-011-4864-1 ; 978-94-010-6038-7
Other identifiers:
10.1007/978-94-011-4864-1 [DOI]
Source:
ECONIS - Online Catalogue of the ZBW
Persistent link: https://www.econbiz.de/10013522018