Foreign Exchange Issues, Capital Markets and International Banking in the 1990s (RLE Banking & Finance)

Foreign Exchange Issues, Capital Markets and International Banking in the 1990s (RLE Banking & Finance) PDF Author: Khosrow Fatemi
Publisher: Routledge
ISBN: 1136267441
Category : Business & Economics
Languages : en
Pages : 298

Get Book

Book Description
The need for continued analysis and evaluation of the international financial system is as pressing now as it was when this book was originally published. This volume provides an in-depth analysis of certain aspects of the international financial system. Specifically it addresses four of the most important financial and monetary issues of the present time: exchange rate, capital markets, international banking and external debt and international financial management.

Foreign Exchange Issues, Capital Markets and International Banking in the 1990s (RLE Banking & Finance)

Foreign Exchange Issues, Capital Markets and International Banking in the 1990s (RLE Banking & Finance) PDF Author: Khosrow Fatemi
Publisher: Routledge
ISBN: 1136267441
Category : Business & Economics
Languages : en
Pages : 298

Get Book

Book Description
The need for continued analysis and evaluation of the international financial system is as pressing now as it was when this book was originally published. This volume provides an in-depth analysis of certain aspects of the international financial system. Specifically it addresses four of the most important financial and monetary issues of the present time: exchange rate, capital markets, international banking and external debt and international financial management.

Foreign Exchange Issues, Capital Markets and International Banking in the 1990s (RLE Banking and Finance)

Foreign Exchange Issues, Capital Markets and International Banking in the 1990s (RLE Banking and Finance) PDF Author: Khosrow Fatemi
Publisher: Routledge
ISBN: 0415538807
Category : Business & Economics
Languages : en
Pages : 298

Get Book

Book Description
The need for continued analysis and evaluation of the international financial system is as pressing now as it was when this book was originally published. This volume provides an in-depth analysis of certain aspects of the international financial system. Specifically it addresses four of the most important financial and monetary issues of the present time: exchange rate, capital markets, international banking and external debt and international financial management.

Foreign Exchange Issues, Capital Markets, and International Banking in the 1990s

Foreign Exchange Issues, Capital Markets, and International Banking in the 1990s PDF Author: Khosrow Fatemi
Publisher:
ISBN: 9780415520867
Category : Banks and banking, International
Languages : en
Pages :

Get Book

Book Description


International Corporate Finance (RLE International Business)

International Corporate Finance (RLE International Business) PDF Author: Harvey A Poniachek
Publisher: Routledge
ISBN: 1135126526
Category : Business & Economics
Languages : en
Pages : 450

Get Book

Book Description
This thorough, comprehensive introduction to international financial management provides an expert guide to the workings of international capital markets, the financing of international business, the complexities of international taxation and the use of financial instruments such as swaps and options. Written by professionals, the book guides the reader through each key topic, targeting the issues underpinning successful financial strategy in the global markets of the 1990s.

Financing the World Economy in the Nineties

Financing the World Economy in the Nineties PDF Author: J.J. Sijben
Publisher: Springer Science & Business Media
ISBN: 9400922612
Category : Business & Economics
Languages : en
Pages : 168

Get Book

Book Description
The present volume contains the texts of the papers and criti cal commentary presented at the one-day conference "Financing the world economy in the nineties" at Tilburg University (23 March 1988). This conference was organized by the Post-graduate School of Banking and Finance of "The Tilburg Institute of Advanced Studies" (T .I.A.S.) which is closely associated to Tilburg University. It should be borne in mind that all the chapters were written before March 1988. Although some were revised later, none of the authors has been asked to include develop ments which have occurred since. To achieve a better understanding of the current financial imbalances in the world economy and its consequences and to discuss the alternatives to correct these imbalances, this conference brought to gether outstanding authorities from the academic world, from the inter national supervisors, and from the industrial companies and the banks. After the editor's introduction about the external disequilib ria in the world economy and the burden of economic adjustment, Chapter 1 is the text of the opening address by Dr. Witteveen. He calls atten tion to the central issue, which financing needs that we can see now may persist into the nineties and how can they be met? In this context he mentions the U.S.-current account deficit, the need for stable exchange rates and the international debt problem.

Handbook of Research on Strategic Business Infrastructure Development and Contemporary Issues in Finance

Handbook of Research on Strategic Business Infrastructure Development and Contemporary Issues in Finance PDF Author: Ray, Nilanjan
Publisher: IGI Global
ISBN: 1466651555
Category : Business & Economics
Languages : en
Pages : 477

Get Book

Book Description
The dynamic economic climate invites participants who are grounded in strategic financial management and infrastructure development. Thus, a lack of sufficient infrastructure, in both quality and quantity, often disqualifies developing countries from being key players in the global economy and influences other socioeconomic problems like unemployment, quality of work life, and quality of life. Handbook of Research on Strategic Business Infrastructure Development and Contemporary Issues in Finance discusses the efficiency of good infrastructure and its impact on socioeconomic growth and socioeconomic development in general and addresses contemporary aspects of the strategic financial management essential for accomplishing the objective of wealth maximization in today's challenging and competitive economy. This book is an essential research work for policy makers, government workers and NGO employees, as well as academicians and researchers in the fields of business, finance, marketing, management, accounting, MIS, public administration, economics, and law.

The Japanese Banking Crisis of the 1990's

The Japanese Banking Crisis of the 1990's PDF Author: Mr.Akihiro Kanaya
Publisher: International Monetary Fund
ISBN: 1451842406
Category : Business & Economics
Languages : en
Pages : 48

Get Book

Book Description
For a large part of the past decade, Japan has witnessed a steady deterioration in the health of its banking system. This paper examines what went wrong and why it has taken so long for the system to recover. While the paper traces the roots of the crisis to accelerated deregulation and deepening of capital markets without an appropriate adjustment in the regulatory framework, it identifies weak corporate governance and regulatory forbearance as the two factors behind what might have been an unnecessary prolongation of the distress of the financial system.

Following the Money

Following the Money PDF Author: National Research Council
Publisher: National Academies Press
ISBN: 0309176905
Category : Political Science
Languages : en
Pages : 224

Get Book

Book Description
Many questions have been raised about America's status in the increasingly interconnected global economy. Yet key factsâ€"such as the amount of foreign assets abroad owned by U.S. citizensâ€"are not known. The crucial data needed to assess the U.S. position are unavailable. This volume explores significant shortcomings in U.S. data on international capital transactions and their implications for policymakers. The volume offers clearcut recommendations for U.S. agencies to bring data collection and analyses of the global economy into the twenty-first century. The volume explores: How factors emerging since the early 1980s have shaped world financial markets and revealed shortcomings in data collection and analysis. How the existing U.S. data system works and where it fails how measurements of international financial transactions are recorded; and how swaps, options, and futures present special reporting problems. How alternative methods, such as collecting data, from sources such as global custodians and international clearinghouses, might improve coverage and accuracy.

Finance and the International Economy 4

Finance and the International Economy 4 PDF Author: Richard O'Brien
Publisher: Oxford University Press, USA
ISBN:
Category : Economic policy
Languages : en
Pages : 246

Get Book

Book Description
This volume covers five key areas in international economics and finance: reform in Eastern Europe and the Soviet Union, observed from four different perspectives; exchange rates; the future of financial markets in the 1990s; the role of banks in developing countries; and the need to discipline government borrowing in Europe under conditions of economic and monetary union (EMU).

Foreign Currency Bank Funding and Global Factors

Foreign Currency Bank Funding and Global Factors PDF Author: Signe Krogstrup
Publisher: International Monetary Fund
ISBN: 1484353668
Category : Business & Economics
Languages : en
Pages : 64

Get Book

Book Description
The literature on the drivers of capital flows stresses the prominent role of global financial factors. Recent empirical work, however, highlights how this role varies across countries and time, and this heterogeneity is not well understood. We revisit this question by focusing on financial intermediaries’ funding flows in different currencies. A concise portfolio model shows that the sign and magnitude of the response of foreign currency funding flows to global risk factors depend on the financial intermediary’s pre-existing currency exposure. An analysis of a rich dataset of European banks’ aggregate balance sheets lends support to the model predictions, especially in countries outside the euro area.