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OverviewFull Product DetailsAuthor: René W.H. van der Linden , Piotr ŁasakPublisher: Springer International Publishing AG Imprint: Palgrave Macmillan Edition: 1st ed. 2023 Weight: 0.379kg ISBN: 9783031278440ISBN 10: 3031278445 Pages: 175 Publication Date: 19 May 2023 Audience: Professional and scholarly , Professional & Vocational Format: Hardback Publisher's Status: Active Availability: Manufactured on demand ![]() We will order this item for you from a manufactured on demand supplier. Table of Contents1. Introduction.- 2. A comparative analysis of the Chinese and the US financial system and its regulatory environment.- 3. China’s deepening integration into global financial markets: lessons from the US counterpart.- 4. Pre- and post-pandemic Sino-US inbound and outbound investments.- 5. The rise and decline of China’s shadow banking subject to a deleveraging policy.- 6. Current trends in the digitalization process and related fintech-based businesses of the Sino-US financial markets.- 7. The digitalization of cross-border payment systems and the introduction of the CBDC.- 8. The ongoing Sino-US trade war and subsequent tech war.- 9. The Sino-US technological decoupling and ways to address it.- 10. The future Sino-US financial coupling or decoupling accompanied by fierce rivalry with different national approaches.- 11. The intensifying Sino-US rivalry and its impact on the possible future scenarios about the international economic order.- 12. Conclusions and Recommendations.ReviewsAuthor InformationRené W.H. van der Linden is a senior lecturer and researcher in Economics, Finance and Business Research at the International Business program of The Hague University of Applied Sciences in the Netherlands. He has more than thirty-five years of experience in teaching and research in the fields of economics and finance. His research interests, with practical applications in education, focus on topics in the field of international financial markets, banking and finance, international economics and doing business in Asia and the EU. He has published many papers on the topics mentioned above and, together with Piotr Łasak, published the Pivot The Financial Implications of China’s Belt and Road Initiative at Palgrave Macmillan in 2019. Piotr Łasak is an Associate Professor at the Institute of Economics, Finance and Management at the Jagiellonian University in Krakow, Poland. His research focuses on topics related to international financial markets development, including financial market regulation and supervision, mechanisms of financial and currency crises, digitalization of the financial sector, and shadow banking system development (especially in China). Tab Content 6Author Website:Countries AvailableAll regions |