Buch, Englisch, 94 Seiten, Format (B × H): 155 mm x 235 mm, Gewicht: 178 g
Reihe: Accounting, Finance, Sustainability, Governance & Fraud: Theory and Application
Buch, Englisch, 94 Seiten, Format (B × H): 155 mm x 235 mm, Gewicht: 178 g
Reihe: Accounting, Finance, Sustainability, Governance & Fraud: Theory and Application
ISBN: 978-981-19-5254-8
Verlag: Springer Nature Singapore
The first part of the book discusses the crisis models in order to allow the reader to better understand the financial, fiscal and economic crises that are detailed in the following chapters. Each chapter starts with an overview of the crisis in question followed by an analysis of the impact on the affected countries. They go on to highlight the causes of the crisis in question, the fiscal and financial measures employed to recover from it and ends on a description of the post-crisis period.
Given the profusion of black swan events that the 21st century has already witnessed, this book would be a valuable read for academics and students of economics as well as practitioners and policy makers.
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Weitere Infos & Material
1. Introduction: General Overview Of Crises Models And Financial Crises.- 2. Dutch Tulip Mania: Tulip Crises.- 3. Bengal Bubble (1669-1772) And East India Syndrome (1669-…).- 4. The Danish State Bankruptcy Of 1813.- 5. 1873 – 1896 Long Depression.- 6. Australian Banking Crisis of 1893.