Nidal Rashid Sabri – författare
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3 produkter
3 produkter
Del 13 - International Review of Comparative Public Policy
International Financial Systems and Stock Volatility
Issues and Remedies
Inbunden, Engelska, 2002
2 014 kr
Skickas inom 5-8 vardagar
At the beginning of the twenty-first century, the world financial markets, and institutions have new features, and are working in different environments and conditions. These are increasing the role of the financial sector in the world economy, integration of the financial markets and institutions, liberalization of related laws and regulations, increasing linkages between sub-segments of financial markets, computerizing of financial markets and institutions, and introducing new instruments and innovative derivatives. The majority of the above changes are considered positive developments in the world economy. However, some of the negative aspects are associated along with the above new conditions. One of the most critical changes is the increased linkage, which may lead to the transmission of high price volatility of stocks, currencies, and inflation, from one economy to another, and in turn may lead to financial crises at certain events and conditions similar to those which occurred in 1987, 1989 and 1997. The financial crises are not confined to a financial market or a financial institution, or a country or a region. There are at present, no generally accepted arguments or explanations for the financial crises that occurred in the last century. The financial crises moved from one market to another, across geographical locations, as well as across segments of financial systems, including both developed and emerging markets. The above features and conditions are creating new challenges; there is an urgent need, therefore, to examine various aspects of financial markets related to stability, risk, and activity, in order to find the most relevant environment and market mechanism that may meet the conditions of stability, liquidity, and efficiency. This volume is devoted to exploring various aspects of this issue.
E-bok
PDF, Engelska, 20203 015 kr
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The findings of this book are based on legal aspects of the majority of the world jurisdictions, and the majority of the existing and new introduced practices to the world stock markets including the role of international commissions, and organizations in this regards. Examination of the stock market efficiency and stability presented in the sixth and seventh chapters is built on empirical investigations, opinions surveys of stock markets experts, and state of arts of the related empirical studies, official reports, and suggested recommendations and best practices. Finally, this book is an attempt to help prevent the next stock market crisis, or to understand how to deal with, in order to shorten the period of declining, shorting the period of recovering, and to reduce the effect of irrational trading during unstable trading.
E-bok
PDF, Engelska, 20202 359 kr
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This book aims to trace and point out the recent developments occurred in the Arab Economy in the last two decades, including trends toward integration, liberalization, and globalization. This book indicates the most recent changes in the Arab Financial Institutions including banks, insurance companies, pension funds and other financial institutions. There is also the discussion of issues in market stability and efficiency in the light of the new Arab environment of Stock Trading. This book is a comprehensive text covering the Arab Financial Sector.