Governing global derivatives: challenges and risks/ (Record no. 163197)
[ view plain ]
000 -LEADER | |
---|---|
fixed length control field | 01320cam a2200301 a 4500 |
020 ## - INTERNATIONAL STANDARD BOOK NUMBER | |
International Standard Book Number | 9780754674641 (hardback : alk. paper) |
020 ## - INTERNATIONAL STANDARD BOOK NUMBER | |
International Standard Book Number | 0754674649 (hardback : alk. paper) |
040 ## - CATALOGING SOURCE | |
Transcribing agency | CUS |
082 00 - DEWEY DECIMAL CLASSIFICATION NUMBER | |
Classification number | 332.632 |
Item number | OLD/G |
100 1# - MAIN ENTRY--PERSONAL NAME | |
Personal name | Oldani, Chiara. |
245 10 - TITLE STATEMENT | |
Title | Governing global derivatives: challenges and risks/ |
Statement of responsibility, etc. | Chiara Oldani. |
260 ## - PUBLICATION, DISTRIBUTION, ETC. (IMPRINT) | |
Place of publication, distribution, etc. | Aldershot, England ; |
-- | Burlington, VT : |
Name of publisher, distributor, etc. | Ashgate, |
Date of publication, distribution, etc. | c2008. |
300 ## - PHYSICAL DESCRIPTION | |
Extent | xx, 205 p. : |
Other physical details | ill. ; |
Dimensions | 25 cm. |
440 #0 - SERIES | |
Title | Global finance series |
504 ## - BIBLIOGRAPHY, ETC. NOTE | |
Bibliography, etc | Includes bibliographical references (p. [193]-202) and index. |
505 ## - FORMATTED CONTENTS NOTE | |
Formatted contents note | CHAPTER ONE <br/>THE MACROECONOMICS OF DERIVATIVES <br/><br/>The Issue of Measurement and Accounting<br/>1. Introduction<br/>2. A brief history of derivatives<br/>3. The Bank of International Settlements <br/>4. Hedge funds<br/>5. National statistics <br/>6. International statistics <br/>7. Measurement methods<br/>8. The accounting of derivatives in the balance sheet<br/>9. The functions of derivatives <br/>10. The use of financial innovation by agents<br/>10.1 Banks and financial institutions<br/>10.2 Central banks<br/>10.3 The government <br/>10.4 Firms and households<br/>11. The risk<br/>12. Derivatives¿ hangover<br/>13. European financial integration<br/>14. The role of the International Monetary Fund<br/>15. From the traffic light to the roundabout<br/>16. Conclusion<br/><br/>CHAPTER TWO <br/>THE MONETARY ANALYSIS OF DERIVATIVES <br/><br/>Global Stability <br/>1. Introduction<br/>2. Institutional rules<br/>3. Financial globalization<br/> 3.1 Scandals and crises<br/> 3.2 Incentives to financial markets <br/>4. A special class of contracts: credit derivatives<br/>5. Subprime crisis of 2007 and the role of derivatives<br/>6. Exchange rate management in the presence of derivatives<br/>7. The monetary analysis of derivatives<br/> 7.1 Derivatives activity and monetary policy<br/>8. Monetary aggregates and derivatives<br/> 8.1 Monetary management in the US and the EU<br/> 8.2 Replication of monetary assets and selective replacement<br/> 8.3 Money and the relation with the underlying economic activity<br/> 8.4 Futures and money demand<br/> 8.5 Empirical results <br/>9. Monetary policy: an expectations¿ management exercise<br/> 9.1 Effects on channels and policy<br/>10. Derivatives in new Keynesian models<br/> 10.1 The long-run solution <br/> 10.2 Empirical evidences <br/>11. Conclusions<br/><br/>CHAPTER THREE <br/>DERIVATIVES AND FISCAL POLICY <br/><br/>Risks and Hazard<br/>1. Introduction<br/>2. Tax timing options and derivatives<br/>3. Public finance and moral hazard <br/>4. Fiscal policy: an incentives management <br/>5. Constraints to fiscal policy <br/>6. Sovereign debt crisis and credit derivatives<br/>7. Public accounting of derivatives <br/>8. Derivatives as a debt management instrument<br/> 8.1 Implications of derivatives¿ use by highly indebted states<br/> 8.2 The modified IS-LM model<br/> 8.3 Shocks and the effectiveness of the policy <br/> 8.4 A special tool to manage the real cost of debt: inflation-linked derivatives<br/>9. Italy: public debt, federalism and derivatives<br/>10. Derivatives: a great opportunity or a jungle?<br/>11. Conclusion<br/><br/>CHAPTER FOUR<br/>THE THEORY OF INVESTMENT AND DERIVATIVES<br/><br/>The Frontier of Economic Analysis<br/>1. Introduction<br/>2. The theory of investment<br/>3. The problem of capital measurement <br/>4. Macroeconomic derivatives: hedging on future world performance<br/>5. Energy and derivatives<br/>6. The Tobin¿s q approach<br/>7. Derivatives¿ q<br/> 7.1 DJX & VIX q<br/>8. Minsky and derivatives<br/> 8.1 A stylized Minskian financial instability hypothesis<br/> 8.2 Derivatives: bringing (in)stability<br/> 8.3 The measure of (in)stability |
650 #0 - SUBJECT | |
Keyword | Derivative securities. |
942 ## - ADDED ENTRY ELEMENTS (KOHA) | |
Koha item type | General Books |
Withdrawn status | Lost status | Damaged status | Not for loan | Home library | Current library | Shelving location | Date acquired | Full call number | Accession number | Date last seen | Date last checked out | Koha item type |
---|---|---|---|---|---|---|---|---|---|---|---|---|
Central Library, Sikkim University | Central Library, Sikkim University | General Book Section | 29/08/2016 | 332.632 OLD/G | P18107 | 12/07/2018 | 12/07/2018 | General Books |