A survey and critique of the major theories of financial crises. This second edition covers the period from 1985 and the stock market crash of 1987, the collapse of the S&L industry, the severe problems of US commercial banks, and the increasing risks posed by junk bonds.
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Martin H. Wolfson teaches economics at the University of Notre Dame in South Bend, Indiana. He was formerly an economist at the Federal Reserve Board in Washington, D.C. He received the B.A. degree from Swarthmore Col-lege, and did graduate study in economics at Harvard University and The Ameri-can University, where he earned his Ph.D. He is engaged in ongoing research on developments in the financial system.
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Zustand: New. A survey and critique of the major theories of financial crises. This second edition covers the period from 1985 and the stock market crash of 1987, the collapse of the S&L industry, the severe problems of US commercial banks, and the increasing risks posed by junk bonds. Num Pages: 240 pages, tables, figures, bibliography, index. BIC Classification: 1KBB; KCBM; KCZ; KFF. Category: (UP) Postgraduate, Research & Scholarly; (UU) Undergraduate. Dimension: 229 x 152 x 22. Weight in Grams: 408. . 1993. 2nd Edition. paperback. . . . . Books ship from the US and Ireland. Artikel-Nr. V9780873327503
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