Global Financial Markets : Issues and Strategies by Mohamed Ariff (2004, Hardcover)
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Publisher: Praeger ISBN 13: 9781567205725. Title: Global Financial Markets: Issues and Strategies Item Condition: New. Will be clean, not soiled or stained. Books will be free of page markings.
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About this product
Product Identifiers
PublisherBloomsbury Publishing USA
ISBN-101567205720
ISBN-139781567205725
eBay Product ID (ePID)5956925
Product Key Features
Number of Pages280 Pages
Publication NameGlobal Financial Markets : Issues and Strategies
LanguageEnglish
Publication Year2004
SubjectInternational / Economics, Finance / General, General
TypeTextbook
AuthorMohamed Ariff
Subject AreaBusiness & Economics
FormatHardcover
Dimensions
Item Height0.7 in
Item Weight20.2 Oz
Item Length9.2 in
Item Width6.1 in
Additional Product Features
Intended AudienceCollege Audience
LCCN2003-026527
Dewey Edition22
Number of Volumes1 vol.
IllustratedYes
Dewey Decimal332/.042
Table Of ContentForeword by Salleh Majd Agiotage and Arbitrage: Could They Work for an Investor in Asian Financial Crisis? by Dilip K. Ghosh and Shyamasri Ghosh Financial Liberalization, Emerging Stock Market Efficiency, and Currency Crisis by Vincent Dropsy Political Risk in Taiwan: Valuing the Doubly Stochastic China Factor by Ephraim Clark and Radu Tunara Foreign Exchange Rate Exposure During a Financial Crisis: The Case of Malaysian Multinationals by Bala Ramasamy Impact of Globalization on Capital Markets: The Egyptian Case by Shahira Abdel Shahid Optimization, Temporary Inefficiencies, and Profitability of Technical Trading Rules in Currency Markets by Dennis Olson Analyzing the Asian Crisis: Was It Really a Surprise? by Michael-Henry Bouchet, Ephraim Clark, and Bertrand Groslambert Banking and Regulatory Reform in Post Crisis Asia by Mohamed Ariff and Michael T. Scully Bank Operating Strategies and Impact of Crisis: The Malaysian Case by Mohd Nordin Asudalli and Obiyathulla Ismath Bacha Persistent Dependence in Foreign Exchange Rates? A Reexamination by John T. Barkoulas, Christopher F. Baum, Mustafa Caglayan, and Atreya Chakraborty Transfer Pricing and Investment Incentives: Asian and North American Linkages by Lawrence W. Nowicki Money Exchange Rates and Inflation: Evidence from Malaysia by Mohammed B. Yusoff and Lee Chin Impact of Pegging on Malaysia Ringitt After the Asian Financial Crisis by Chee Ani Mad, Nik Mat, N. Zainudin, N. Ahmad, and E. Chik Optimum Currency Area: Euro as a Practical Paradigm? Elinda Fishman Kiss Asian Financial Crisis: Whence and Wither? by Dilip K. Ghosh
SynopsisIn the evolving environment of global financial markets, governments, corporations, individual investors, and their associated financial institutions must grapple with a host of thorny issues that affect emerging economies with particular force, as we saw during the Asian financial crisis of the late 1990s. Among the issues analyzed by some of the top financial scholars from around the world are covered arbitrage possibilities in the absense of hedging instruments; the effect of capital controls on capital flows; the potential impact of currency unification, as well as the possibilities for pegging currency in the context of floating foreign exchange regimes; regulatory reforms; and political risk analysis.