This book is a collection of six studies on behaviour of financial and economic variables in emerging and Euro markets. It includes the latest empirical studies on 32 emerging economies. The studies cover examination of the behaviour of interest rates, banks' credit and default risks, sovereign bond markets, effectiveness of inflation targeting, and dynamics of external debt and growth. There is currently no single book that addresses all these issues. This is a valuable book for all those who are working on emerging markets.
This book is a collection of six studies on behaviour of financial and economic variables in emerging and Euro markets. It includes the latest empiric...
This book presents the latest findings on the impact of capital flows and foreign direct investments (FDI) on macroeconomic variables and financial development of emerging markets. Each chapter concentrates on a different region and explores the significance of specific factors that can attract FDI to that region. They highlight the importance of political stability, as well as social and economic freedom in attracting FDIs. The studies also show the extent by which African and Middle Eastern countries have lagged behind other emerging markets and the need for urgent adjustment policies.
This book presents the latest findings on the impact of capital flows and foreign direct investments (FDI) on macroeconomic variables and financial de...
This book presents the latest empirical findings on stock markets in a number of emerging markets. The authors employ the latest techniques and provide valuable insights into each market, highlighting global integration, their potential for profitable investments and features that will be influential in global portfolio decision-making.
This book presents the latest empirical findings on stock markets in a number of emerging markets. The authors employ the latest techniques and provid...
The book features eight studies related to governance and risk. It provides a critical evaluation of Basel II, and questions the significance of corruption in country risk analysis and investors' decision making. It offers a reliable model of early warning credit signals that helps managers to detect default risks, and provides a risk-based analysis of alternative production systems in Pakistan. It analyzes the effects of market liberalization on volatility spill-over across the globe, and examines past and future prospects for the Iraqi stock exchange. Finally, it proposes securitization as...
The book features eight studies related to governance and risk. It provides a critical evaluation of Basel II, and questions the significance of corru...
This book is a collection of studies that examine the path of transition of central and south eastern European countries, the implications of EU enlargement for the acceding countries and the remaining European countries yet to join. It also discusses reactions of eastern European stock markets to news of financial crisis in emerging markets
This book is a collection of studies that examine the path of transition of central and south eastern European countries, the implications of EU enlar...
This book evaluates the economic effect of monetary policies and exchange rate arrangements within Latin America. Using theoretical and empirical studies, the text examines pertinent issues in Argentina, Mexico and Brazil, including the role of currency board, inflation targeting and international prudential regulation in banking crisis reduction.
This book evaluates the economic effect of monetary policies and exchange rate arrangements within Latin America. Using theoretical and empirical stud...