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The Russian Economy under Putin
  • Language: en
  • Pages: 234

The Russian Economy under Putin

  • Type: Book
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  • Published: 2018-10-03
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  • Publisher: Routledge

This book presents a comprehensive view of the state of the Russian economy under President Putin. It considers the extent of Russia’s integration in the world economy, where Russia’s exports of oil and gas are a key factor, discusses Russia’s internal challenges, including changing demographics, declining government revenue, the need to counter over-reliance on the oil and gas sector and the consequences of high military spending, and assesses the prospects for economic reform, highlighting especially the power struggles between different vested interests. Overall, the book provides a basis for understanding what has been going on in the Russian economy under President Putin and what the future may look like given the external environment, internal challenges and reform processes.

Were Bid-Ask Spreads in the Foreign Exchange Market Excessive During the Asian Crisis?
  • Language: en
  • Pages: 33

Were Bid-Ask Spreads in the Foreign Exchange Market Excessive During the Asian Crisis?

Bid-ask spreads for Asian emerging market currencies increased sharply during the Asian crisis. A key question is whether such wide spreads were excessive or explained by models of bid-ask spreads. Precrisis estimates of standard models show that spreads during the crisis were in most cases tighter than spreads predicted by the models and there are few cases of excessive spreads. The result is largely explained by the substantial increase in exchange rate volatility during the crisis and to some extent by the level change. The empirical models have greater explanatory power for emerging- than for mature-market currencies.

Essays on stochastic fiscal policy, public debt and private consumption
  • Language: en
  • Pages: 179

Essays on stochastic fiscal policy, public debt and private consumption

  • Type: Book
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  • Published: 1995
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  • Publisher: Unknown

None

The Borders of the European Union in a Conflictual World
  • Language: en
  • Pages: 292
Common Trends and Structural Change
  • Language: en
  • Pages: 31

Common Trends and Structural Change

This paper uses a common trends model to study how prices, the black market exchange rate, money, and real output have developed over a period covering both pre- and post-revolution Iranian data. It is shown that monetary shocks have significant short-run effects on output, but permanent effects on the price level and exchange rate, that is, expansionary monetary policy is not consistent with achieving low inflation or a stable unified exchange rate. The real shocks generate higher growth and lower inflation, suggesting that supply-side policies are consistent with the goals in the Islamic Republic of Iran’s second five-year development plan.

The Nationalist Dilemma
  • Language: en
  • Pages: 431

The Nationalist Dilemma

Nationalists think about the economy, Marvin Suesse argues, and this thinking matters once nationalists hold political power. Many nationalists seek to limit global exchange, but others prioritise economic development. The potential conflict between these two goals shapes nationalist policy making. Drawing on historical case studies from thirty countries – from the American Revolution to the rise of China – this book paints a broad panorama of economic nationalism over the past 250 years. It explains why such thinking has become influential, despite the internal contradictions and chequered record of many nationalist policy makers. At the root of economic nationalism's appeal is its ability to capitalise upon economic inequality, both domestic and international. These inequalities are reinforced by political factors such as empire building, ethnic conflicts, and financial crises. This has given rise to powerful nationalist movements that have decisively shaped the global exchange of goods, people, and capital.

Fault Lines After COVID-19
  • Language: en
  • Pages: 360

Fault Lines After COVID-19

This book explores the central economic and political issues defining the modern world. With contributions from a number of world renowned economists, a range of topical debates are discussed in an accessible and practical manner. The topics discussed include the current economic and political backdrop, global economic shifts, challenges within central banking and financial integration, the international monetary and financial system, and geopolitical tensions. Particular attention is given to the transition to a low carbon economy, the perils of public debt, the post-COVID-19 recovery, and the conflict in Ukraine. This book aims to envisage the economic challenges and opportunities that will be faced in the years to come. It will be relevant to students, researchers, and policymakers interested in economic policy and the political economy. Chapter-No.17 is available open access under a Creative Commons Attribution 4.0 International License via link.springer.com.

Prevention and Crisis Management
  • Language: en
  • Pages: 304

Prevention and Crisis Management

Four years have passed since the onset of the 2008 global crisis, and although some believe that there may be a second down draft soon, attention has shifted from crisis narration to assessing lessons essential for preventing or managing recurrences. The exercise is worthy, but there is always the danger of preparing for the last war when the next attack takes another form. Prevention and Crisis Management addresses this problem by highlighting the future threat to Asia from a broader perspective that takes account of the Japanese and Asian financial crises during the 1990s as well as the global crisis of 2008. The enlarged framework turns out to be illuminating for two distinct reasons. Fir...

Country Insurance
  • Language: en
  • Pages: 50

Country Insurance

  • Type: Book
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  • Published: 2007-04-10
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  • Publisher: IMF

Country insurance is a form of protective infrastructure that countries can take to defend against economic crisis. Such protective measures include, sound economic policies, robust financial structures, and adequate reserve coverage. This form of self-insurance can be further enhanced through regional arrangements that can pool economic risks, or at a multi-lateral level, countries can seek IMF resource provisions or policy advice. This Occasional Paper examines the options countries can take through domestic policies with respect to country insurance.

The Russian Economy and Foreign Direct Investment
  • Language: en
  • Pages: 276

The Russian Economy and Foreign Direct Investment

Before the recent Ukrainian crisis, Russia was one of the main sources of foreign direct investment (FDI) outflow and one of the main targets of FDI inflow in the world. However, the events in the Ukraine, the formation of the Eurasian Economic Union, and China’s growing interest in the Russian market and its natural resources have changed the picture completely. This new book brings together an international group of contributors to present a timely and comprehensive analysis of FDI to and from Russia. The book assesses the impact of the changed international political situation on foreign firms operating in Russia, and explores how the new world context has affected Russian investments a...