This textbook provides comprehensive coverage of international finance from policy, regulatory, and transactional perspectives. It is organized in five parts. Part One deals with the international aspects of banking and securities markets in major financial centers. It covers the global financial crisis of 2007-2009 and the 2010 Eurozone crisis, systemic risk, and macroprudential regulation. Part Two considers the infrastructure of global financial markets, including payment, clearing and settlement systems, foreign exchange regimes, and international coordination of capital requirements....
This textbook provides comprehensive coverage of international finance from policy, regulatory, and transactional perspectives. It is organized in fi...