Adapting to Financial Globalisation
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- ¥8,400
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- ¥8,400
発行者による作品情報
Adapting to the demands of financial globalisation is currently one of the most pressing preoccupations of bankers, financial institutions and financial authorities. Many aspects of this issue are addressed in this volume, based on a colloquium held in Vienna in April 2000 by the Société Universitaire Européene de Rechèrches Financières (SUERF) jointly with the Austrian National Bank.
Individual chapters, written by academics, central bankers and market professionals, focus on the strategic implications of global pressures which are tending to eradicate the previously clear boundaries of time, distance, legal frameworks, culture, languages and currencies.
Financial Markets in Central and Eastern Europe
2004年
Building the Financial Foundations of the Euro
2009年
The Role of Central Banks in Financial Stability : How Has It Changed?
2013年
The Social Value of the Financial Sector :Too Big to Fail or Just Too Big?
2013年
Dealing with the Challenges of Macro Financial Linkages in Emerging Markets
2013年
OECD Economic Surveys: Euro Area 2009
2009年
Financial Regulation, Governance, and Stability
2025年
Clean Energy Funds and Portfolio Diversification
2025年
Financial Transaction Tax
2025年
Investment Promotion Agencies and Foreign Direct Investment
2025年
Digital Payments and the Cashless Economy
2025年
Innovation in Banking and Financial Intermediaries
2025年