Emerging Markets and Financial Resilience - Decoupling Growth from Turbulence (Electronic book text)


Today, the role of emerging countries in the world economy is significant. However, the financial sector has experienced a decade of turbulence and as a result emerging markets are facing unique challenges. Moreover, the integration of emerging markets into the global financial markets has significant consequences for the growth and stability of the economy and sets new challenges for economic policy-makers. The biggest challenge is in finding ways to sustain their current trajectory and in taking a more decisive role in shaping the global financial architecture to ensure sustainable growth. They need to ensure a collective prudential system can be built in the near future to withstand the difficult challenges ahead. Emerging Markets and Financial Resilience brings together the latest research on the most pressing issues affecting finance in emerging markets. Written in five parts, the book includes newly emerging research topics in finance such as the role of social capital and natural resource in financial market development; and socially responsible investing funds in East Asian emerging markets. It also presents new empirical evidence on established research topics such as portfolio management, international parities, foreign direct investment, momentum anomalies and corporate finance. Emerging Markets and Financial Resilience is an ideal resource for researchers, postgraduate students, practitioners and regulators interested in Asia as an emerging market.

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Product Description

Today, the role of emerging countries in the world economy is significant. However, the financial sector has experienced a decade of turbulence and as a result emerging markets are facing unique challenges. Moreover, the integration of emerging markets into the global financial markets has significant consequences for the growth and stability of the economy and sets new challenges for economic policy-makers. The biggest challenge is in finding ways to sustain their current trajectory and in taking a more decisive role in shaping the global financial architecture to ensure sustainable growth. They need to ensure a collective prudential system can be built in the near future to withstand the difficult challenges ahead. Emerging Markets and Financial Resilience brings together the latest research on the most pressing issues affecting finance in emerging markets. Written in five parts, the book includes newly emerging research topics in finance such as the role of social capital and natural resource in financial market development; and socially responsible investing funds in East Asian emerging markets. It also presents new empirical evidence on established research topics such as portfolio management, international parities, foreign direct investment, momentum anomalies and corporate finance. Emerging Markets and Financial Resilience is an ideal resource for researchers, postgraduate students, practitioners and regulators interested in Asia as an emerging market.

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Product Details

General

Imprint

Palgrave Macmillan

Country of origin

United Kingdom

Release date

August 2013

Availability

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First published

2013

Editors

, , , ,

Format

Electronic book text

Pages

272

ISBN-13

978-1-137-26661-3

Barcode

9781137266613

Categories

LSN

1-137-26661-9



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