Siirry suoraan sisältöön
The Asian Financial Crisis
Tallenna

The Asian Financial Crisis

sidottu, 1999
englanti

Presents the first theoretical analysis of the Asian Financial Crisis and draws out the general lessons of an event whose potential long term effects have been likened to those of the Crash of 1929. Part I presents a factual and analytic overview of what happened: the role of ‘vulnerability’; the interconnection between currency crises and financial crises; and why crisis turned into collapse. Part II considers more detailed issues, including how the inflation of non-traded goods prices created vulnerability, welfare-reducing capital inflow owing to under-regulated financial markets, and the onset of speculative attacks. Part III assesses all aspects of contagion, in particular the role of geographic proximity. The final section addresses policy issues. Joseph Stiglitz argues that there is much that can be done to reduce the frequency of crises, and to mitigate the severity of crises when they happen. Finishes with a round-table discussion of policy issues.

Alaotsikko
Causes, Contagion and Consequences
ISBN
9780521770804
Kieli
englanti
Paino
789 grammaa
Julkaisupäivä
4.11.1999
Sivumäärä
448