Description

Book Synopsis
The Global Financial Crisis of 2007-2009 has highlighted the resilience of the financial markets and economies from the developing world. This title investigates and assesses the impact and response to the crisis from an emerging markets perspective including asset pricing, contagion, financial intermediation, market structure and regulation.

Table of Contents
List of Contributors. The Impact of the Global Financial Crisis on Emerging Financial Markets. The Global Financial Crisis. The Causes of the Global Financial Crisis. The Impact of the Global Financial Crisis on Emerging and Newly Industrialized Asia. Sailing Out of Crisis Emerging Markets Style. Bargaining game and LDCs' commercial bank debt restructuring outcomes. Has International Financial Co-Movement Changed? Emerging Markets in the 2007–2009 Financial Crisis. Financial Sector Surveillance and the IMF. What can the East and Northeast Asian Communities Learn from the EU?. Has the International Banking and Financial Crisis Damaged Emerging Market MNCs?. Changing Central Bank Transparency in Central and Eastern Europe During the Financial Crisis. Return Seasonality in Emerging Markets. How Long Memory in Volatility Affects Market Risk Estimation. Dependence and Return Distributions During Crises. Elasticities of Stock Prices in Emerging Markets. Financial Crises Propagation. Financial Crises and Structural Breaks in Autocorrelation on the Bric's Stock Markets. Macroeconomic Dynamics and the Term Structure of Interest Rates in Emerging Markets. Subprime Crisis and its Impact on the Brazilian Mutual Fund Industry. Determining the RMB Exchange Regime. Grass-Root stock market investment and long-term commonality in liquidity. Properties of Realized Correlation. Pricing the Currency Premium Under Flexible Exchange Rates. Determinants of Foreign Direct Investment in Thailand. A Comparison of Financial Robustness in the United States and Turkey During 2007–2010. The Impact of the Global Financial Crisis on Emerging Financial Markets. Contemporary Studies in Economic and Financial Analysis. Contemporary Studies in Economic and Financial Analysis. Copyright page.

The Impact of the Global Financial Crisis on

Product form

£131.99

Includes FREE delivery

Order before 4pm tomorrow for delivery by Sat 27 Dec 2025.

A Hardback by Jonathan Batten, Peter G. Szilagyi, Robert Thornton

15 in stock


    View other formats and editions of The Impact of the Global Financial Crisis on by Jonathan Batten

    Publisher: Emerald Publishing Limited
    Publication Date: 02/03/2011
    ISBN13: 9780857247537, 978-0857247537
    ISBN10: 0857247530

    Description

    Book Synopsis
    The Global Financial Crisis of 2007-2009 has highlighted the resilience of the financial markets and economies from the developing world. This title investigates and assesses the impact and response to the crisis from an emerging markets perspective including asset pricing, contagion, financial intermediation, market structure and regulation.

    Table of Contents
    List of Contributors. The Impact of the Global Financial Crisis on Emerging Financial Markets. The Global Financial Crisis. The Causes of the Global Financial Crisis. The Impact of the Global Financial Crisis on Emerging and Newly Industrialized Asia. Sailing Out of Crisis Emerging Markets Style. Bargaining game and LDCs' commercial bank debt restructuring outcomes. Has International Financial Co-Movement Changed? Emerging Markets in the 2007–2009 Financial Crisis. Financial Sector Surveillance and the IMF. What can the East and Northeast Asian Communities Learn from the EU?. Has the International Banking and Financial Crisis Damaged Emerging Market MNCs?. Changing Central Bank Transparency in Central and Eastern Europe During the Financial Crisis. Return Seasonality in Emerging Markets. How Long Memory in Volatility Affects Market Risk Estimation. Dependence and Return Distributions During Crises. Elasticities of Stock Prices in Emerging Markets. Financial Crises Propagation. Financial Crises and Structural Breaks in Autocorrelation on the Bric's Stock Markets. Macroeconomic Dynamics and the Term Structure of Interest Rates in Emerging Markets. Subprime Crisis and its Impact on the Brazilian Mutual Fund Industry. Determining the RMB Exchange Regime. Grass-Root stock market investment and long-term commonality in liquidity. Properties of Realized Correlation. Pricing the Currency Premium Under Flexible Exchange Rates. Determinants of Foreign Direct Investment in Thailand. A Comparison of Financial Robustness in the United States and Turkey During 2007–2010. The Impact of the Global Financial Crisis on Emerging Financial Markets. Contemporary Studies in Economic and Financial Analysis. Contemporary Studies in Economic and Financial Analysis. Copyright page.

    Recently viewed products

    © 2025 Book Curl

      • American Express
      • Apple Pay
      • Diners Club
      • Discover
      • Google Pay
      • Maestro
      • Mastercard
      • PayPal
      • Shop Pay
      • Union Pay
      • Visa

      Login

      Forgot your password?

      Don't have an account yet?
      Create account