David Gowland – författare
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743 kr
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630 kr
Kommande
2 306 kr
Kommande
918 kr
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This book provides both a comprehensive introduction and a perceptive examination of Britain’s relations with the European Community and the European Union since 1945, combining an historical account with political analysis to illustrate the changing and multifaceted nature of British and European politics.
Few issues in British politics since 1945 have generated such heated controversy as Britain’s approach to the process of European integration associated with the European Union. The long-running debate on the subject has not only played a major part in the downfall of prime ministers and other leading political figures but has also exposed major fault-lines within governments and caused deep and rancorous divisions within and between the major political parties. This highly contested issue has given rise to bitter campaigning in the press and between pressure groups, and it has bemused, confused and divided the public at large.
Key questions addressed include:
Why has Europe had such an explosive impact on British politics? What impelled British policymakers to join the European Community and to undertake one of the radical, if not the most radical, changes in modern British history? What have been the perceived advantages and disadvantages of British membership of the European Union? Why has British membership of the European Union rarely attracted a national consensus?
Engaging with both academic and public debates about Britain and the European Union, this volume is essential reading for all students of British history, British politics, and European politics.
918 kr
Läs direkt efter köp
This book provides both a comprehensive introduction and a perceptive examination of Britain’s relations with the European Community and the European Union since 1945, combining an historical account with political analysis to illustrate the changing and multifaceted nature of British and European politics.
Few issues in British politics since 1945 have generated such heated controversy as Britain’s approach to the process of European integration associated with the European Union. The long-running debate on the subject has not only played a major part in the downfall of prime ministers and other leading political figures but has also exposed major fault-lines within governments and caused deep and rancorous divisions within and between the major political parties. This highly contested issue has given rise to bitter campaigning in the press and between pressure groups, and it has bemused, confused and divided the public at large.
Key questions addressed include:
Why has Europe had such an explosive impact on British politics? What impelled British policymakers to join the European Community and to undertake one of the radical, if not the most radical, changes in modern British history? What have been the perceived advantages and disadvantages of British membership of the European Union? Why has British membership of the European Union rarely attracted a national consensus?
Engaging with both academic and public debates about Britain and the European Union, this volume is essential reading for all students of British history, British politics, and European politics.
710 kr
Läs direkt efter köp
Intended as a successor to Monetary Policy and Credit Control (Croom Helm, 1978; Routledge Revivals, 2013), this book, first published in 1982 with a revised edition in 1984, traces the changes in approach to monetary control in the U.K. throughout the 1970s, and the consequences for policy and the British economy. The book considers the widely-publicised proposals for ‘reserve base’ or ‘monetary base’ control of the financial system, including a critique of the 1980 Bank of England Green Paper. David Gowland concludes with an analysis of the 1979 Conservative Government’s monetary policy. This is a very interesting title, of great relevance to students and academics researching recent British economic history and varying governmental approaches to monetary policy.
710 kr
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Intended as a successor to Monetary Policy and Credit Control (Croom Helm, 1978; Routledge Revivals, 2013), this book, first published in 1982 with a revised edition in 1984, traces the changes in approach to monetary control in the U.K. throughout the 1970s, and the consequences for policy and the British economy. The book considers the widely-publicised proposals for ‘reserve base’ or ‘monetary base’ control of the financial system, including a critique of the 1980 Bank of England Green Paper. David Gowland concludes with an analysis of the 1979 Conservative Government’s monetary policy. This is a very interesting title, of great relevance to students and academics researching recent British economic history and varying governmental approaches to monetary policy.
404 kr
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This book, first published in 1978, provides an analysis of British monetary policy and considers what techniques of monetary control were most appropriate to the context of the U.K. during the 1970s and 1980s. David Gowland answers crucial questions surrounding economic management in the period between 1971 and 1976, in particular whether rapid monetary expansion was the cause of the acceleration of U.K. inflation. With an analysis of the government’s experimentation with policy at its core, this is a unique study which will be of interest to students of monetary policy and recent British economic history.
404 kr
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This book, first published in 1978, provides an analysis of British monetary policy and considers what techniques of monetary control were most appropriate to the context of the U.K. during the 1970s and 1980s. David Gowland answers crucial questions surrounding economic management in the period between 1971 and 1976, in particular whether rapid monetary expansion was the cause of the acceleration of U.K. inflation. With an analysis of the government’s experimentation with policy at its core, this is a unique study which will be of interest to students of monetary policy and recent British economic history.
942 kr
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First published in 1990, International Bond Markets analyses how the markets in public-sector debt have developed and how they operate in a number of countries, including those with chronic budget deficits. Alongside a detailed introduction to government borrowing, chapters consider the bond markets and debt management systems of the U.S.A., Japan, France, Italy and the U.K. With governments around the world struggling to manage their huge deficits, this is a particularly relevant title to students observing the current global economic situation, and those with a general interest in public debt management and bond markets.
942 kr
Läs direkt efter köp
First published in 1990, International Bond Markets analyses how the markets in public-sector debt have developed and how they operate in a number of countries, including those with chronic budget deficits. Alongside a detailed introduction to government borrowing, chapters consider the bond markets and debt management systems of the U.S.A., Japan, France, Italy and the U.K. With governments around the world struggling to manage their huge deficits, this is a particularly relevant title to students observing the current global economic situation, and those with a general interest in public debt management and bond markets.
824 kr
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824 kr
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891 kr
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An illuminating and comprehensive exploration of a subject which has dominated the British political scene for much of the period since the Second World War. Through a wide and varied collection of documents, complemented by detailed and perceptive analysis, this book explores Britain''s reactions to the dynamics of European integration.Key subjects covered include;European unity and "missed opportunities" in the early post-war yearsthe Commonwealth dimension and the "special relationship"Britain''s belated attempts to join the EC in the 1960sthe singlecurrencyMany of its numerous sources are made widely accessible here for the first time. It is an invaluable resource for all students of Politics, Modern British History and European Studies.
891 kr
Läs direkt efter köp
An illuminating and comprehensive exploration of a subject which has dominated the British political scene for much of the period since the Second World War. Through a wide and varied collection of documents, complemented by detailed and perceptive analysis, this book explores Britain''s reactions to the dynamics of European integration.Key subjects covered include;European unity and "missed opportunities" in the early post-war yearsthe Commonwealth dimension and the "special relationship"Britain''s belated attempts to join the EC in the 1960sthe singlecurrencyMany of its numerous sources are made widely accessible here for the first time. It is an invaluable resource for all students of Politics, Modern British History and European Studies.
433 kr
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433 kr
Läs direkt efter köp
2 255 kr
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