Financial crises in emerging markets
Titel: | Financial crises in emerging markets / ed. by Reuven Glick, Ramon Moreno, Mark. M. Spiegel |
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Beteiligt: | |
Veröffentlicht: | Cambridge : Cambridge Univ. Press, 2001 |
Umfang: | XI, 467 Seiten : Diagramme |
Format: | Buch |
Sprache: | Englisch |
RVK-Notation: | |
ISBN: | 052180020X |
Hinweise zum Inhalt: |
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Inhaltsverzeichnis |
- Preface
- 1
- Financial crises in emerging markets: an introductory overview
- Part I
- Determinants and Propagation of Financial Crises
- 2
- Banking and currency crises: how common are twins?
- Discussion
- 3
- Multiple equilibria, contagion, and the emerging market crises
- Discussion
- 4
- How are shocks propagated internationally? Firm-level evidence from the Russian and East Asian crises
- Discussion
- Part II
- Capital Flows and Reversals
- 5
- Uncertainty and the disappearance of international credit
- Discussion
- 6
- International capital inflows, domestic financial intermediation, and financial crises under imperfect information
- Discussion
- 7
- Private inflows when crises are anticipated: a case study of Korea
- Discussion
- Part III
- Institutional Factors and Financial Structure
- 8
- Excessive FDI Flows under asymmetric information
- Discussion
- 9
- Corporate growth and risk around the world
- Discussion
- Part IV
- Policy Responses
- 10
- Interest rate stabilization of exchange rates and contagion in the Asian Crisis countries
- Discussion
- 11
- The impact of monetary policy on exchange rates during financial crises
- Discussion
- 12
- Capital controls during financial crises: the cases of Malaysia and Thailand