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This paper provides an overview of the period prior to the recent global crisis, and the policies that were adopted around the world in response to the crisis. It highlights a number of key issues regarding economic and financial policies that governments have faced both globally and nationally. These are related to the management of boom and bust episodes that deserve more attention in policy circles in the future.
Access to Finance --- Accounting --- Capital account --- Capital markets --- Cross-border flows --- Currencies and Exchange Rates --- Debt Markets --- Developing countries --- Domestic credit --- Economic Theory & Research --- Emerging Markets --- Expenditures --- Finance and Financial Sector Development --- Financial crisis --- Financial market --- Financial stability --- Financial system --- Global markets --- International bank --- Macroeconomics and Economic Growth --- Policy responses --- Portfolio --- Portfolio diversification --- Private Sector Development --- Remittances --- Stock market --- Stock market capitalization --- Trading
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This paper provides an overview of the period prior to the recent global crisis, and the policies that were adopted around the world in response to the crisis. It highlights a number of key issues regarding economic and financial policies that governments have faced both globally and nationally. These are related to the management of boom and bust episodes that deserve more attention in policy circles in the future.
Access to Finance --- Accounting --- Capital account --- Capital markets --- Cross-border flows --- Currencies and Exchange Rates --- Debt Markets --- Developing countries --- Domestic credit --- Economic Theory & Research --- Emerging Markets --- Expenditures --- Finance and Financial Sector Development --- Financial crisis --- Financial market --- Financial stability --- Financial system --- Global markets --- International bank --- Macroeconomics and Economic Growth --- Policy responses --- Portfolio --- Portfolio diversification --- Private Sector Development --- Remittances --- Stock market --- Stock market capitalization --- Trading
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"The Chinese economy is now easily one of the most important and closely scrutinized economies in the world. Relatively minuscule changes in predictions of how the Chinese economy will perform can drive up or down stocks and the price of oil and other commodities. At the heart of how the Chinese economy works is its financial system-but the Chinese financial system is vastly different than most people in the West can understand. How do house prices work, for example, in a country where the very concept of property ownership is significantly different than our own? This edited volume will serve as a standard reference guide to China's financial system. With eighteen chapters, the handbook features overviews on the banking sector-the core of China's financial system and the key channel for implementing China's monetary policy-China's ongoing reforms, and the quickly growing bond and money markets, among other topics. Each chapter is written by a leading expert in the field, and as a whole the list of contributors represents an impressive mix of leading scholars and high-level policy officials, some with first-hand knowledge of setting and carrying out Chinese financial policy. The handbook will serve as the first real authoritative volume of literature in the field, and will shed extensive new light on the links between China's financial system and the real economy"--
Finance --- China --- Economic policy --- A-shares. --- British pound. --- C schemes. --- Chinese investment funds. --- Chinese mutual funds. --- Chinese rating agency. --- Euro. --- FDI. --- Fintech cities. --- IFRS. --- IMF. --- IPO reform. --- Japanese yen. --- LGFV. --- McCallum rule. --- PBC policy rates. --- Q schemes. --- QFII. --- RMB cross-border flows. --- RMB internationalization. --- RMB lending. --- RQFII, QDII. --- SOEs. --- Shanghai stock exchange. --- Shenzhen stock exchange. --- Taylor rule. --- US dollar. --- VC. --- accounting system. --- asset management. --- banking institutions. --- banking regulations. --- banking. --- basic social security. --- benchmark rates. --- bond connect. --- bond credit ratings. --- bond markets. --- capital account liberalization. --- central bank independence. --- corporate governance. --- credit extension. --- credit market rates. --- domestic assets. --- employer-sponsored annuity programs. --- equity markets. --- familiarity. --- fintech development. --- fintech regulatory developments. --- fintech. --- foreign direct investment. --- foreign exchange. --- hedge funds. --- infrastructure financing. --- interbank markets. --- interest rate liberalization. --- interest rates. --- internet usage. --- investor behavior. --- investor behavioral biases. --- limited attention. --- liquidity facility rates. --- local government financing vehicles. --- loss aversion. --- macroprudential policies. --- market economy. --- microprudential supervision initiatives. --- monetary policy instruments. --- monetary policy. --- money markets. --- mutual fund industry. --- mutual funds. --- online shopping. --- overconfidence. --- pension system. --- pensions. --- price-based policy instruments. --- private equity funds. --- public pension scheme. --- quantity-based policy instruments. --- real state market. --- representativeness bias. --- shadow banking. --- shareholder activism. --- state-owned commercial banks. --- stock connect. --- stock market regulations. --- stock market. --- venture capital funds. --- venture capital market.
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