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From the Age of Derivatives into the New Millennium: A Financial History of the United States 19702001 [Pehme köide]

  • Formaat: Paperback / softback, 452 pages, kõrgus x laius: 246x174 mm, kaal: 880 g
  • Sari: Financial History of the United States
  • Ilmumisaeg: 31-Jul-2024
  • Kirjastus: Routledge
  • ISBN-10: 1032161159
  • ISBN-13: 9781032161150
Teised raamatud teemal:
  • Formaat: Paperback / softback, 452 pages, kõrgus x laius: 246x174 mm, kaal: 880 g
  • Sari: Financial History of the United States
  • Ilmumisaeg: 31-Jul-2024
  • Kirjastus: Routledge
  • ISBN-10: 1032161159
  • ISBN-13: 9781032161150
Teised raamatud teemal:

Originally published in 2002, this volume focuses on the growth of derivatives, the savings and loan crisis, the merger mania of the 1980s, the accompanying insider trading scandals, and the battle with inflation. This history then reviews the market run-up in the 1990s and the rebirth of finance that was being strongly pushed by the Internet economy as the third millennium began.



Originally published in 2002, this book covers the crisis in the savings and loan industry in the 1980s, insider trading scandals and the growth of derivative financial instruments.

Arvustused

'The author's coverage is superb and his analysis uniformly convincing. Markham discusses such topics as derivatives, junk bonds, REITs, hedge funds, and the final bubble meltdown. I rarely turned a page without discovering something I had not known before. Without question, this volume should be the starting point for anyone seeking information on developments in the financial markets over the last three decades. Edwin J. Perkins, University of Southern California, USA.

Part 1: Financial Turmoil
1. Interest Rates and Other Concerns
2. Commissions and Scandals
3. New Economic Policy and New York City
4. Derivatives Expand
5. Interest Rates Again Part 2: Markets Merge
1. Derivatives Continue Their Growth
2. Hostages, Repos and Other Matters
3. Mergers and Insider Trading
4. Banking Woes
5. REITs and Asset-Backed Debt Part 3: Finance Falters
1. The Stock Market Crash of 1987
2. The S&L Crisis and Banking Scandals
3. Stock Markets and Brokers
4. The Crisis in Derivatives Part 4: American Finance Rebounds
1. Markets and Broker-Dealers
2. Insurance Troubles
3. Banking Growth
4. The Market Boom
5. International Finance and Derivatives Part 5: The Century Closes 1. Internet Money and Trading
2. Banking Consolidation
3. Market Ups and Downs
4. Market Bubbles and Changes
5. Into the Millennium.

Jerry W. Markham is a professor of law at Florida International University in Miami, USA, where he teaches corporate and international business law.