Managing risks in the European periphery debt crisis : lessons from the trade-off between economics, politics and the financial markets /: lessons from the trade-off between economics, politics and the financial markets. (2015)
- Record Type:
- Book
- Title:
- Managing risks in the European periphery debt crisis : lessons from the trade-off between economics, politics and the financial markets /: lessons from the trade-off between economics, politics and the financial markets. (2015)
- Main Title:
- Managing risks in the European periphery debt crisis : lessons from the trade-off between economics, politics and the financial markets
- Further Information:
- Note: Edited by George Christodoulakis.
- Editors:
- Christodoulakis, George
- Other Names:
- Palgrave Connect (Online service)
- Contents:
- PART I: GENESIS OF THE CRISIS, USE AND ABUSE OF ECONOMIC POLICIES -- 1. The genesis of the Eurozone Sovereign Debt Crisis; Philippe D'Arvisenet -- 2. The Trade-Off between Fiscal and Competiveness Adjustments; Daniel Gros and Cinzia Alcidi -- 3. Ireland and Greece: A Tale of Two Fiscal Adjustments; Jeffrey D. Anderson and Jessica Stallings -- 4. Rating Agencies vs. Sovereign Debt Markets: A Tale of Interacting Risk Preferences; George Christodoulakis -- 5. The 2012 Greek Debt Restructuring and its Aftermath; Miranda Xafa -- 6. Economic Theories that Influenced the Judges of Karlsruhe; Paul De Grauwe -- 7. Privatization of State Assets in the Presence of Crisis; George Christodoulakis -- PART II: CRISIS RESOLUTION, PROSPECT AND RETROSPECT -- 8. How to Manage Public Debts in the Euro Area?; Catherine Mathieu and Henri Sterdyniak -- 9. Fiscal risk sharing and Stabilization in the EMU; Kerstin Bernoth and Philipp Engler -- 10. Sovereign Debt and its Restructuring Framework in the Eurozone; Ashoka Mody -- 11. Funding Risks for Corporates in the Periphery: Disintermediation to the Rescue for the Larger Ones, Challenges for the Others; Blaise Ganguin -- 12. On Solving Europe's Financial Issues to Promote Sustainable Growth; Adrian Blundell-Wignall and Caroline Roulet -- 13. European Banking Union as a Response to the Fragmentation of the Internal Market Resulting from the Financial and Sovereign Debt Crisis; Dimitris Tsibanoulis and Gerry Kounadis.
- Publisher Details:
- Houndmills, Basingstoke, Hampshire : Palgrave Macmillan
- Publication Date:
- 2015
- Extent:
- 1 online resource (xvi, 275 pages)
- Subjects:
- 338.54209409051
Finance
Financial crises -- European Union countries -- History -- 21st century
Debts, Public -- European Union countries
Debts, Public
Economic policy
Financial crises
Business & Economics -- Investments & Securities
Business & Economics -- Banks & Banking
Business & Economics -- Economics -- Macroeconomics
Investment & securities
Banking
Macroeconomics
Risk management
Investment banking
Securities
Banks and banking
Macroeconomics
Business & Economics -- Insurance -- Risk Assessment & Management
Management & management techniques
European Union countries -- Economic policy
Europe -- European Union countries
Electronic books
History - Languages:
- English
- ISBNs:
- 9781137304957
1137304952 - Notes:
- Note: Includes bibliographical references and index.
Note: Online resource; title from digital title page (viewed on January 26, 2015). - Access Rights:
- Legal Deposit; Only available on premises controlled by the deposit library and to one user at any one time; The Legal Deposit Libraries (Non-Print Works) Regulations (UK).
- Access Usage:
- Restricted: Printing from this resource is governed by The Legal Deposit Libraries (Non-Print Works) Regulations (UK) and UK copyright law currently in force.
- View Content:
- Available online (eLD content is only available in our Reading Rooms) ↗
- Physical Locations:
- British Library HMNTS - ELD.DS.294008
- Ingest File:
- 01_212.xml