Managing Risks in the European Periphery Debt Crisis: Lessons from the Trade-off between Economics, Politics and the Financial Markets
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★★★★★
English
The European Periphery Debt Crisis (EPDC) has its roots in the structural characteristics of the individual economies affected. This book offers a full diagnosis of the EPDC, its association to the national and international structural characteristics and a full analysis from a risk management point of view of the available policy options.
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Product Details
Dimensions: 155 x 235mm
Publication Date: 23 Dec 2014
Publisher: Palgrave Macmillan
Publication City/Country: United Kingdom
Language: English
ISBN13: 9781137304940
About
Philippe D'Arvisenet BNP Paribas France Daniel Gros Centre for European Policy Studies Belgium Cinzia Alcidi Centre for European Policy Studies Belgium Jeffrey Anderson Institute of International Finance USA Jessica Stallings Institute of International Finance USA Miranda Xafa E. F. Consulting Greece Paul De Grauwe London School of Economics UK Catherine Mathieu OFCE (Observatoire français des conjonctures économiques) France Henri Sterdyniak OFCE (Observatoire français des conjonctures économiques) France Kerstin Bernoth Hertie School of Governance Germany Philipp Engler Freie Universität Berlin Germany Ashoka Mody Princeton University USA Blaise Ganguin Standard & Poor's France Adrian Blundell-Wignall OECD France Caroline Roulet OECD France Dimitris Tsibanoulis Tsibanoulis & Partners Greece Gerry Kounadis Tsibanoulis & Partners Greece