Atnaujintas knygų su minimaliais defektais pasiūlymas! Naršykite ČIA >>
After tracing the causes of the global financial crisis, the book focuses on two fundamental systemic issues connected with its manifestation: financial-sector regulation and the problem of the dollar-centric international monetary system, both of which have been widely cited among the important factors leading to the 2008 financial crisis. The important analytical question of monetary policy transmission during the crisis is discussed in depth with the help of appropriate econometric models. The effectiveness of Indiäs monetary policy during the crisis is examined by specifying an econometric model, and the impact of the crisis on the Indian stock market is modelled on the basis of risk-enhancing and risk-mitigating features. In closing, the impact of the crisis on real sectors of the Indian economy is analysed in detail.
Autorius: | B. L. Pandit |
Leidėjas: | Springer India |
Išleidimo metai: | 2015 |
Knygos puslapių skaičius: | 156 |
ISBN-10: | 8132223942 |
ISBN-13: | 9788132223948 |
Formatas: | 241 x 160 x 15 mm. Knyga kietu viršeliu |
Kalba: | Anglų |
Parašykite atsiliepimą apie „The Global Financial Crisis and the Indian Economy“