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OverviewFull Product DetailsAuthor: Michael Chui (Hong Kong Monetary Authority) , Prasanna Gai (Australian National University and Bank of England)Publisher: Oxford University Press Imprint: Oxford University Press Dimensions: Width: 16.30cm , Height: 1.80cm , Length: 24.20cm Weight: 0.485kg ISBN: 9780199267750ISBN 10: 0199267758 Pages: 224 Publication Date: 27 January 2005 Audience: Professional and scholarly , Professional & Vocational Format: Hardback Publisher's Status: Active Availability: To order ![]() Stock availability from the supplier is unknown. We will order it for you and ship this item to you once it is received by us. Table of Contents1: Introduction Part I: The Analytics of Crisis 2: Overview: causes, costs, and prediction 3: Sunspot-based models 4: Fundamentals-based models 5: Reconciling the two views 6: Crisis costs and incentives to repay 7: Spotting financial crises Part II: Reforming the International Financial Architecture 8: Overview: dealing with crises 9: Sovereign debt workouts 10: Open issues 11: The 'original sin' problem 12: Next steps in the debate Appendix A: First-order differential equation Appendix B: Conditional distributions IndexReviews...the authors do an excellent job. The book will appeal to anyone interested in the serious study of financial crises and the design of international financial mechanisms. Times Higher Education Supplement Author InformationPrasanna Gai is a Fellow of the Research School of Pacific and Asian Studies at the Australian National University. He has been a Senior Adviser at the Bank of England (1994-2001), Senior Research Associate in the Financial Markets Group at the London School of Economics, and a Consultant to the Bank of England on international financial affairs (2002-2003). He has held visiting appointments as Visiting Fellow at the Hong Kong Institute of Monetary Research (2003) and Visiting Lecturer at the University of Oxford (2001). Michael Chui is Senior Manager at the Hong Kong Monetary Authority. He has been an Economist in the Directorate General International & European Relations at the European Central Bank (2001-2003), an Economist in the International Finance Division at the Bank of England (1998-2001), and a Research Officer in the Centre for Economic Forecasting at the London Business School (1993-98). Tab Content 6Author Website:Countries AvailableAll regions |