Handbook of Global Financial Markets
Transformations, Dependence, and Risk Spillovers
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- ¥22,800
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- ¥22,800
発行者による作品情報
The objective of this handbook is to provide the readers with insights about current dynamics and future potential transformations of global financial markets. We intend to focus on four main areas: Dynamics of Financial Markets; Financial Uncertainty and Volatility; Market Linkages and Spillover Effects; and Extreme Events and Financial Transformations and address the following critical issues, but not limited to: market integration and its implications; crisis risk assessment and contagion effects; financial uncertainty and volatility; role of emerging financial markets in the global economy; role of complex dynamics of economic and financial systems; market linkages, asset valuation and risk management; exchange rate volatility and firm-level exposure; financial effects of economic, political and social risks; link between financial development and economic growth; country risks; and sovereign debt markets.
930Readership: Graduate students, policy-makers and researchers in the fields of money & banking, international finance, and risk management. Market Integration;Risk Management;Risk Assessment;Financial Uncertainty;Volatility;Financial Markets;Financial Development;Country Risks;Sovereign Debt Markets0Key Features:Address the state of art, current issues and new trends in global financial markets researchBring insights about adaptation strategies and adjustments by corporations and investors to secure their investments during times of crisisProvide theoretical and empirical elements of financial markets and evaluate the effectiveness of existing model