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Financial capital, whether mediated through the financial market or Foreign Direct Investment has been a key factor in European economic growth. This book examines the interaction between European and global financial integration and analyses the dynamics of the monetary sector and the real economy in Europe. The key analytical focus is on the theoretical and empirical dynamics of financial markets in Europe, however, it also provides regional case studies of key institutional developments and lessons from foreign direct investment. There is a broad range of findings for Central, Eastern and Western Europe as well as EU Partner Countries. Crucially the analysis includes new approaches and options for solving the transatlantic banking crisis and suggests policy innovations for a world with unstable financial markets.
Economic growth --- Economics --- economische groei --- Macroeconomics --- financiën --- Europese eenmaking --- macro-economie --- economie --- Finance --- Europe --- Financial institutions --- -Capital market --- -EEC / European Union - EU -Europese Unie - Union Européenne - UE --- ES / Spain - Spanje - Espagne --- PT / Portugal --- IE / Ireland - Ierland - Irlande --- 334.151.28 --- 333.101 --- 333.602 --- 338.8 --- 332.094 --- Capital markets --- Market, Capital --- Loans --- Money market --- Securities --- Crowding out (Economics) --- Efficient market theory --- Financial intermediaries --- Lending institutions --- Associations, institutions, etc. --- Kredietinstellingen in de Europese Gemeenschappen. --- Banksysteem en bankstelsel. --- Activiteiten en evolutie van de financiële markten. --- Economische groei. --- European Union countries --- -Europe --- EU countries --- Euroland --- Economic conditions --- Economic integration. --- Kredietinstellingen in de Europese Gemeenschappen --- Banksysteem en bankstelsel --- Activiteiten en evolutie van de financiële markten --- Economische groei --- -European Union countries
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Social security law --- Crises financières --- Financial crises --- Financiële crisissen --- Global Financial Crisis, 2008-2009 --- Pensions --- Crise financière mondiale, 2008-2009 --- Law and legislation --- Droit --- Government policy --- AA / International- internationaal --- US / United States of America - USA - Verenigde Staten - Etats Unis --- GB / United Kingdom - Verenigd Koninkrijk - Royaume Uni --- IE / Ireland - Ierland - Irlande --- AU / Australia - Australië - Australie --- DK / Denmark - Denemarken - Danemark --- 368.43 --- 333.52 --- 333.17 --- crise economique --- pension alimentaire --- union europeenne --- politique gouvernementale --- 351.84*4 --- Ouderdomsverzekering. Voorbarige dood. Weduwen en wezen. --- Institutionele beleggers. --- Crises, saneringen en hervormingen van het bankwezen. --- economische crisis --- levensonderhoud --- europese unie --- overheidsbeleid --- Pensioenwetgeving --- 351.84*4 Pensioenwetgeving --- Crise financière mondiale, 2008-2009 --- Compensation --- Pension plans --- Retirement pensions --- Superannuation --- Retirement income --- Annuities --- Social security individual investment accounts --- Vested benefits --- Crashes, Financial --- Crises, Financial --- Financial crashes --- Financial panics --- Panics (Finance) --- Stock exchange crashes --- Stock market panics --- Crises --- Crises, saneringen en hervormingen van het bankwezen --- Institutionele beleggers --- Ouderdomsverzekering. Voorbarige dood. Weduwen en wezen --- AU / Australia - Australië - Australie --- Pensions - Law and legislation --- Pensions - Government policy --- Etats-Unis --- Australie --- Royaume-Uni --- Danemark --- Irlande --- Pologne --- Droit social --- Sécurité sociale --- Fonds d'épargne-retraite --- Etudes comparatives --- Droit social -- Etudes comparatives
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The financial crisis of 2007-10 has presented a number of key policy challenges for those concerned with the long-term stability of the euro area. It has shown that price stability as provided by the European Central Bank is not enough to guarantee financial stability, and exposed fault lines in governance and deficiencies in the architecture of the financial supervisory and regulatory framework. This book addresses these and other issues, including why the crisis affected some countries more than others, whether the euro is still attractive for new EU states, and what policy changes and structural reforms, both macro and micro, should be undertaken to ensure its future viability. Written by a team of leading academic and central bank economists, the book also includes chapters on the cross-country incidence of the crisis, the Irish crisis and ECB monetary policy during the crisis, and studies on Spain, the Baltics, Slovakia and Slovenia.
Money market. Capital market --- International finance --- European Union --- Monetary policy --- Euro --- Global Financial Crisis, 2008-2009 --- -Euro --- Global Financial Crisis, 2008-2009. --- EEC / European Union - EU -Europese Unie - Union Européenne - UE --- IE / Ireland - Ierland - Irlande --- ES / Spain - Spanje - Espagne --- SI / Slovenia - Slovenië - Slovénie --- SK / Slovakia - Slovakije - Slovaquie --- EEU / Central & Eastern Europe --- 334.151.20 --- 334.151.25 --- 331.30 --- 331.01 --- 333.846.0 --- Global Economic Crisis, 2008-2009 --- Subprime Mortgage Crisis, 2008-2009 --- Financial crises --- Money --- Monetary management --- Economic policy --- Currency boards --- Money supply --- Economische en monetaire unie van de Europese Gemeenschappen: algemeenheden. --- Rekeneenheid, gemeenschappelijke munt van de Europese Gemeenschappen. ECU. Euro. --- Economische toestand. --- Evolutie van de economische cycli. --- Verband tussen het monetair, bank- en kredietbeleid en de economische ontwikkeling: algemeenheden. --- Evolutie van de economische cycli --- Economische toestand --- Verband tussen het monetair, bank- en kredietbeleid en de economische ontwikkeling: algemeenheden --- Economische en monetaire unie van de Europese Gemeenschappen: algemeenheden --- Rekeneenheid, gemeenschappelijke munt van de Europese Gemeenschappen. ECU. Euro --- Euro. --- Business, Economy and Management --- Economics --- Monetary policy - European Union countries
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AA / International- internationaal --- IS / Iceland - Ijsland - Islande --- GR / Greece - Griekenland - Grèce --- IE / Ireland - Ierland - Irlande --- EEU / Central & Eastern Europe --- PL / Poland - Polen - Pologne --- FR / France - Frankrijk --- BE / Belgium - België - Belgique --- EEC / European Union - EU -Europese Unie - Union Européenne - UE --- JP / Japan - Japon --- US / United States of America - USA - Verenigde Staten - Etats Unis --- 336.301 --- 336.302 --- 336.312.3 --- 382.257 --- 339.115 --- dette des pays en voie de developpement --- Toestand, structuur, rentelast en evolutie van de rijksschuld. --- Weerslag van de rijksschuld. --- Solvabiliteit, kredietwaardigheid van de landen. Risicolanden. --- Internationale liquiditeiten. --- Buitenlandse schuld. Debt Equity Swap in LDC. --- schuld van de ontwikkelingslanden --- Dettes publiques --- Crise financière mondiale, 2008-2009. --- Finances internationales --- Histoire --- Debts, Public --- Global Financial Crisis, 2008-2009 --- International finance --- Crise financière mondiale, 2008-2009 --- History --- Crise financière mondiale, 2008-2009 --- Structural adjustment (Economic policy) --- Developed countries --- Debts [External ] --- Toestand, structuur, rentelast en evolutie van de rijksschuld --- Weerslag van de rijksschuld --- Solvabiliteit, kredietwaardigheid van de landen. Risicolanden --- Internationale liquiditeiten --- Buitenlandse schuld. Debt Equity Swap in LDC
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