TOTAL: 36
  1. Finance and Growth

    Finance and Growth

    Edited by Asli Demirgüç-Kunt, Ross Levine
    This two-volume collection brings together major contributions to the study of finance and growth. It includes conceptual and empirical papers that use a range of methodologies to discover the connections between financial systems – including financial contracts, markets, and intermediaries – and the functioning of the economy – including economic growth, entrepreneurship, technological innovation, poverty alleviation, the distribution of income, and the structure and volatility of economies. It also discusses contributions to the study of the legal, political, institutional, social capital and policy determinants of financial development. With an original introduction by the editors, this collection is an important resource for students, academics and practitioners. Learn More
    2018   Hardback Price: $ 875.00   Web: $ 787.50
    Availability: In Stock
  2. Volatility

    Volatility

    Edited by Torben G. Andersen, Tim Bollerslev
    Volatility ranks among the most active and successful areas of research in econometrics and empirical asset pricing finance over the past three decades. This two-volume collection of papers comprises some of the most influential published works from this burgeoning literature, both classic and contemporary. Topics covered include GARCH, stochastic and multivariate volatility models as well as forecasting, evaluation and high-frequency data. Together with an original introduction by the editors, this definitive compilation presents the most important milestones and contributions that helped pave the way to today’s understanding of volatility. Learn More
    2018   Hardback Price: $ 895.00   Web: $ 805.50
    Availability: In Stock
  3. The Economics of Recession

    The Economics of Recession

    Edited by Arturo Estrella
    This timely two-volume set offers a broad selection of important readings from the existing literature addressing several fundamental questions about recessions. These include what a recession is, the causes and effects of recessions, how to identify and predict recessions, and how to manage the associated risks. An original introduction by the editor provides a general overview of the subject, detailed analysis of the readings, discussion of policy implications and acknowledgement of the areas where further research is required. This authoritative collection will be an invaluable source of reference for academics, scholars and practitioners alike. Learn More
    2017   Hardback Price: $ 780.00   Web: $ 702.00
    Availability: In Stock
  4. Post-Keynesian Economics

    Post-Keynesian Economics

    Edited by Louis-Philippe Rochon, Sergio Rossi
    This three-volume collection offers a comprehensive overview and discussion of the seminal contributions by many prominent scholars in the heterodox tradition of post-Keynesian economic thought. The first volume presents various methodological issues, showing the contrast with orthodox thinking on fundamental grounds. The second volume focuses on credit, money and production, which are crucial to understanding the working of our economic systems. The final volume addresses several interrelated macroeconomic issues such as employment, distribution, growth, development, asset bubbles, and financial crises. Together with an original introduction by the editors, this anthology provides a unique opportunity to appraise and appreciate the depth and variety of post-Keynesian economics at both theoretical and policy-oriented level. Learn More
    2017   Hardback Price: $ 1,375.00   Web: $ 1,237.50
    Availability: In Stock
  5. Modern Monetary Policy and Central Bank Governance

    Modern Monetary Policy and Central Bank Governance

    Edited by Sylvester Eijffinger, Donato Masciandaro
    There has been a recent evolution in the relationship between modern monetary policy and central banking, visible in the now merged study of public economic choices made every day and the features of monetary architectures and institutions. Though previously separate focuses, these are now accepted by academic scholars and policymakers to be two critical areas that are intrinsically linked. Learn More
    2014   Hardback Price: $ 375.00   Web: $ 337.50
    Availability: In Stock
  6. Combating Money Laundering and Terrorism Finance: Past and Current Challenges

    Combating Money Laundering and Terrorism Finance: Past and Current Challenges

    Edited by Navin Beekarry
    This important book addresses the broader legal, policy and regulatory issues confronting the international community in its search for effective methodologies to combat money laundering and terrorist financing. New threats must always be met with new regulatory and compliance approaches. Alongside an original introduction to the area, which critically examines the 2012 revision to the Financial Action Task Force, the editor has selected key papers that focus on compliance perspectives, in assessing the task, including work examining the recent shift from a rule-based to a risk-based approach. This volume is an essential source of reference for anyone interested in this dynamic field. Learn More
    2013   Hardback Price: $ 495.00   Web: $ 445.50
    Availability: In Stock
  7. Theories of Money and Banking

    Theories of Money and Banking

    Edited by L. R. Wray
    This authoritative two-volume collection brings together the most important contributions to theories of money and banking written over the past century. Learn More
    2012   Hardback Price: $ 706.00   Web: $ 635.40
    Availability: In Stock
  8. Law and Economics of Insurance

    Law and Economics of Insurance

    Edited by Daniel Schwarcz
    This timely two-volume collection successfully combines economically-oriented legal scholarship on insurance with policy-relevant economics scholarship on insurance. Professor Schwarcz has selected seminal contributions from the past twenty years to explore some of the central questions involving the role of the state in insurance markets. These include rules governing the interpretation and enforceability of insurance contracts, the regulation of insurers and insurance markets, and the role of public programs in supporting private insurance markets. This essential collection will be of immense value and interest to students and academics interested in the diverse field of the law and economics of insurance. Learn More
    2012   Hardback Price: $ 815.00   Web: $ 733.50
    Availability: In Stock
  9. Financial Markets and Financial Fragility

    Financial Markets and Financial Fragility

    Edited by Jan Toporowski
    These authoritative volumes present the most important published work on the theory and incidence of financial fragility in the financial markets, and policy for dealing with fragility. The volumes cover the recent central bank discussions about financial fragility and models simulating financial fragility. Contents include the key historical contributions that have formed our current understanding of how it arises in the financial markets, the consequences for the economy at large, and for the way in which credit operates in society. These volumes are a key resource for policymakers, central bankers and senior executives in banking and finance who need to extend their understanding of financial fragility and develop instruments for managing such difficulties. Academics specialising in banking and financial economics will find conveniently in two volumes the essential research materials dealing with the pathology of credit markets. Learn More
    2010   Hardback Price: $ 525.00   Web: $ 472.50
    Availability: In Stock
  10. Recent Developments in Monetary Policy

    Recent Developments in Monetary Policy

    Edited by Alec Chrystal, Paul Mizen
    Monetary policy in the major industrial countries has largely been a success story in recent years. This two-volume set includes previously published papers by Nobel Laureates, central bankers and leading research economists. The key advances in recent thinking that underpin modern monetary policy and indicate some of the current controversies that remain are brought together in this timely publication. Some of these challenges will continue to dominate the thinking of scholars and practitioners for years to come. Learn More
    2009   Hardback Price: $ 553.00   Web: $ 497.70
    Availability: In Stock
  11. Insurance and Risk Management

    Insurance and Risk Management

    Edited by Gregory R. Niehaus
    There is a broad range of literature on the economics of insurance and risk management. This timely publication contains recent theoretical contributions to the economics of insurance and presents empirical tests and applications of the theory to many different insurance markets. It also offers important insights into the factors influencing corporate risk management decisions, and the theoretical underpinnings for why corporations with well-diversified shareholders would reduce risk. This two-volume set will be an essential resource to everyone with an interest in these important subjects. Learn More
    2008   Hardback Price: $ 539.00   Web: $ 485.10
    Availability: In Stock
  12. Financial Crises

    Financial Crises

    Edited by Franklin Allen, Douglas Gale
    This important volume presents key contributions to the study of financial crises from many different areas of economics. The book offers an economic history of financial crises, empirical studies of crises in the modern era, and classic works on the theory of banking crises. It also covers specialized topics, with sections on currency crises and financial contagion. Undergraduate students of money, banking, macroeconomics and financial crises alike will find this collection to be an invaluable overview of a critical area of study. Learn More
    2008   Hardback Price: $ 322.00   Web: $ 289.80
    Availability: In Stock
  13. Islamic Finance

    Islamic Finance

    Edited by M. K. Hassan, Mervyn K. Lewis
    Islamic finance refers to methods of undertaking banking and financial transactions that are in conformity with the precepts of Islam. As such, the system offers a challenge to conventional Western ways of thinking about financing. This indispensable set of papers brings together the most important previously published papers on the subject of Islamic Finance from the last four decades. Issues explored include: the prohibition on interest; financing instruments; accounting and regulatory issues; institutional structures and recent developments. Learn More
    2007   Hardback Price: $ 371.00   Web: $ 333.90
    Availability: In Stock
  14. Financial Markets and the Real Economy

    Financial Markets and the Real Economy

    Edited by John H. Cochrane
    This insightful collection examines the intersection between macroeconomics and finance. The key challenge in this area is to find the right measure of ‘bad times’ (the marginal value of wealth) to explain some assets’ high average returns or low prices as compensation for those assets' tendency to pay off poorly in bad times. Learn More
    2006   Hardback Price: $ 378.00   Web: $ 340.20
    Availability: In Stock
  15. Concepts of Money

    Concepts of Money

    Edited by Geoffrey Ingham
    This authoritative new collection comprises a selection of the most important readings reflecting the wide diversity in the conceptualization of the nature of money in the social sciences. Commodity theory, state theory, credit theory, post Keynesian theory, theory of the monetary circuit, and important contributions from Marxism and sociology are included. Geoffrey Ingham’s comprehensive introduction critically analyses the various concepts, explains their differences, assesses their relative merits, and gives guidance for further reading. The collection will be an invaluable reference source for students and academics in economics, sociology and political science. Learn More
    2006   Hardback Price: $ 336.00   Web: $ 302.40
    Availability: Out of Stock
  16. Real Options and International Investment

    Real Options and International Investment

    Edited by Alan M. Rugman, Jing Li
    The application of real options theory to the decision making of multinational enterprises (MNEs) is an exciting new area of research within the field of international business. Such contributions will make existing theories in international business (such as internalization theory) dynamic and more realistic. This important collection presents 20 of the most significant articles that apply real options theory to international business and strategic management. Learn More
    2005   Hardback Price: $ 225.00   Web: $ 202.50
    Availability: In Stock
  17. International Monetary Relations in the New Global Economy

    International Monetary Relations in the New Global Economy

    Edited by Benjamin J. Cohen
    The studies included in these two volumes have been selected to highlight key recent contributions to scholarship on the political economy of international monetary relations. Over the last decade, the central theme of research in this area has been the growth and increasingly pervasive influence of capital mobility. The papers collected here have significantly advanced theoretical and analytical understanding of the causes and, even more importantly, the political and economic consequences of financial liberalization. Among the issues addressed are the impact of growing capital mobility on domestic policy, the choice of exchange-rate regimes and monetary institutions, governance of international capital, policy cooperation and monetary integration. These volumes will be of particular interest to specialists in international political economy. Learn More
    2004   Hardback Price: $ 511.00   Web: $ 459.90
    Availability: In Stock
  18. Asset Pricing Theory and Tests

    Asset Pricing Theory and Tests

    Edited by Robert R. Grauer
    Asset pricing lies at the heart of financial economics, being not only the foundation of every other field in this subject area but also having prime relevance for practical decision-making. For this two-volume collection the editor has selected some of the most influential articles which have been published on this topic since the 1970s. These papers offer an overview of the theories of asset pricing, an investigation and critique of the empirical tests applied to these theories and an examination of five particular models: the mean-variance CAPM, the linear risk tolerance CAPM, the intertemporal CAPM, the consumption-based CAPM and the arbitrage pricing theory. Learn More
    2003   Hardback Price: $ 588.00   Web: $ 529.20
    Availability: In Stock
  19. Speculation and Financial Markets

    Speculation and Financial Markets

    Edited by Liam A. Gallagher, Mark P. Taylor
    This authoritative two-volume collection brings together a comprehensive selection of over 40 previously published articles which include seminal and recent contributions in the area of speculation and financial markets. The volumes present the key theoretical and applied research in the pricing of assets, market efficiency and behavioural finance. It explores speculative behaviour in finance and the main financial markets including the stock market, the bond market and the market for foreign exchange and derivatives. Learn More
    2002   Hardback Price: $ 651.00   Web: $ 585.90
    Availability: In Stock
  20. Financial Market Integration and International Capital Flows

    Financial Market Integration and International Capital Flows

    Edited by Gregor Irwin, David Vines
    This collection of papers, written by both academics and practitioners, is addressed both to specialists and to a wider audience, and will provide insight into an extremely important global development. Learn More
    2002   Hardback Price: $ 273.00   Web: $ 245.70
    Availability: In Stock