Governing global derivatives: challenges and risks/ (Record no. 163197)

MARC details
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
Holdings
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
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