Money, Trade and Finance

Money, Trade and Finance Recent Trends and Methodological Issues

1st Edition 2021

Paperback (27 Oct 2022)

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Publisher's Synopsis

This book analyses several aspects on the efficient resource allocation in the aftermath of the global financial crisis and the European sovereign debt crisis. The main focus of the volume is on recent European Union (EU) experience highlighting the interrelation between inherent structural rigidities and practical limitations in the conduct of sound economic policy. Special reference is made to Greece (evidencing unprecedented experience), the EU periphery countries and the US. This book will be of interest to academic and central bank researchers, business practitioners (in consultancy and finance) and graduate students, as it is a good example of how scholarly dialogue can contribute to contemporary high-quality policy debate on sound liquidity provision and financial stability in the Eurozone, as well as the effective ways to combat recession in the EU periphery countries.

Book information

ISBN: 9783030732219
Publisher: Springer International Publishing
Imprint: Palgrave Macmillan
Pub date:
Edition: 1st Edition 2021
Language: English
Number of pages: 279
Weight: 400g
Height: 210mm
Width: 148mm
Spine width: 16mm