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The European Sovereign Debt Crisis and Its Impacts on Financial Markets '17

Hamori, Shigeyuki (Kobe University, Japan)  著

在庫状況 自社在庫有り  僅少 お届け予定日 3~4日  数量 冊 
価格 特価  \11,654(税込)         

発行年月 2017年12月
出版社/提供元
出版国 イギリス
言語 英語
媒体 冊子
装丁 paper
ジャンル 洋書/社会科学/経済学/各国の経済事情・経済史
ISBN 9780815350743
商品コード 1025741056
国件名 EU
本の性格 実務向け
新刊案内掲載月 2018年01月
商品URL
参照
https://kw.maruzen.co.jp/ims/itemDetail.html?itmCd=1025741056

内容

The global financial crisis saw many Eurozone countries bearing excessive public debt. This led the government bond yields of some peripheral countries to rise sharply, resulting in the outbreak of the European sovereign debt crisis. The debt crisis is characterized by its immediate spread from Greece, the country of origin, to its neighbouring countries and the connection between the Eurozone banking sector and the public sector debt. Addressing these interesting features, this book sheds light on the impacts of the crisis on various financial markets in Europe. This book is among the first to conduct a thorough empirical analysis of the European sovereign debt crisis. It analyses, using advanced econometric methodologies, why the crisis escalated so prominently, having significant impacts on a wide range of financial markets, and was not just limited to government bond markets. The book also allows one to understand the consequences and the overall impact of such a debt crisis, enabling investors and policymakers to formulate diversification strategies, and create suitable regulatory frameworks.

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