- Inbunden (Hardback)
- Antal sidor
- OUP Oxford
- Wjcik, Dariusz
- figures and tables
- 234 x 156 x 16 mm
- Antal komponenter
- 52:B&W 6.14 x 9.21in or 234 x 156mm (Royal 8vo) Case Laminate on White w/Gloss Lam
- 545 g
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The Geography of Finance
Corporate Governance in the Global Marketplace1519
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The Geography of Finance tackles crucial issues raised by current developments in finance and corporate governance. The authors describe and explain the transformation of European corporate governance in the light of the imperatives driving global financial markets, using an innovative analytical framework.
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`This fine book sheds new light on the interaction of dynamic financial markets and the structures of corporate governance. The authors take us far beyond conventional treatments of institutional convergence and divergence. Their broadly interdisciplinary approach yields compelling arguments, innovative empirical tests, and appropriately nuanced conclusions. The Geography of Finance will certainly engage a wide range of expert readers, but students and
non-specialists interested in the future of global capitalism will find it accessible as well.'
Louis W. Pauly, Canada Research Chair in Globalization and Governance and Director of the Centre for International Studies, University of Toronto
<br>Gordon L. Clark is the Halford Mackinder Professor of Geography, Professorial Fellow of the Sa d Business School, and Faculty Associate of the Institute of Ageing at the University of Oxford, and is a Fellow of St Peter's College, Oxford. He is a member of the Panel of Academic Experts of the UK National Association of Pension Funds and a Governor of the Pensions Policy Institute.<br> Darius W jcik is a Research Associate at the School of Geography and the Environment, University of Oxford.<br>
PART I: GLOBAL FINANCE AND EUROPE; 1. The Alchemy of Finance; 2. Convergence in Corporate Governance; PART II: GERMAN MODEL(S) IN PLAY; 3. Portfolio Investors and the German Model; 4. Geographical Foundations of Corporate Governance; 5. Path Dependence and Transition; PART III: MANAGING GLOBAL INTEGRATION; 6. Cross-Listing and the Market for Governance; 7. Global Financial Markets as Standard-Setters; 8. The Language of Finance