Securing Finance, Mobilizing Risk: Money Cultures at the Bank of England

Author:   John Morris (University College London, UK)
Publisher:   Taylor & Francis Ltd
ISBN:  

9780367904166


Pages:   200
Publication Date:   12 December 2019
Format:   Paperback
Availability:   In Print   Availability explained
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Securing Finance, Mobilizing Risk: Money Cultures at the Bank of England


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Author:   John Morris (University College London, UK)
Publisher:   Taylor & Francis Ltd
Imprint:   Routledge
Weight:   0.370kg
ISBN:  

9780367904166


ISBN 10:   0367904160
Pages:   200
Publication Date:   12 December 2019
Audience:   College/higher education ,  Tertiary & Higher Education
Format:   Paperback
Publisher's Status:   Active
Availability:   In Print   Availability explained
This item will be ordered in for you from one of our suppliers. Upon receipt, we will promptly dispatch it out to you. For in store availability, please contact us.

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The important achievement of John Morris' Securing Finance, Mobilizing Risk is to bring the insights of the cultural economy literature to bear on the problematics of international political economy. The result is a conceptually and empirically sophisticated account that offers fresh insight into the contemporary operation of central banking and the way financial risk is governed. - Martijn Konings, University of Sydney, Australia At a time of growing perceived threats to financial stability from sources ranging from climate change to cybercrime, John Morris offers a lively and penetrating analysis of how and why the Bank of England's attitudes toward stability risk and its measurement and management have been transformed in the years prior to and since the global financial crisis, and with what consequences. Understanding the Bank's orientation to stability risk as a form of 'speculative security', Morris provides an account that will be of interest across the gamut of critical social studies of money and finance. - Brett Christophers, Uppsala University, Sweden John Morris astutely analyses the fine line that the Bank of England navigates between taming risk and speculating on risk. His attentiveness to misfires and improvisations in financial discourse reinvigorates the debate on financial performativity, and pushes it in new directions. Strongly recommended to anyone interested in the complex interrelations between finance and security, and the growing financial security literature. - Marieke de Goede, University of Amsterdam


Author Information

John Hogan Morris is Research Assistant in Responsible Finance in the Centre for Business in Society at Coventry University. He completed his PhD in 2015 in the Geography Department at Durham University (UK), and earlier that year his work won ‘Best Graduate Student Paper’ at the New Directions in International Political Economy Conference at University of Warwick. John has published in the Journal of Cultural Economy and is currently co-editing a special issue on ‘Security and Finance’ in the journal Finance & Society. He also has a section on ‘Financial Security’ in the International Political Economy of Everyday Life project. He has taught Economic Geography and International Political Economy at Durham University and University College London. John was an invited judge at the London Area Final of the Bank of England’s Two Point Zero challenge and has provided informal advice on public communications to the European Central Bank.

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