Книги
Dangerous markets
Barton, D. Dangerous markets : managing in financial crises / D. Barton, R. Newell, G. Wilson. — New YorkChichesterWeinheim : John Wiley & Sons, Inc., 2003. — 300 p.: il., tab.. — (Wiley finance series). — Index: с. 295-300. — ISBN 0-471-22686-6.
Аннотация
"Financial crises are hardly limited to the purview of central bankers and regulators. The authors skillfully demonstrate that financial crises offer both peril and promise. A 'must-read' for top management of any global company, whether a financial or a nonfinancial institution." - Ronald P. O'Hanley, Vice Chairman, Mellon financial corp. "Based on their vast experience in financial crises around the world during recent years, the authors have developed an impressive review of the origins of and solutions to financial crises. The cost of such crises can be minimized and the path to recovery established earlier if bankers, other corporate executives, and public finance officials take advantage of this effort and apply the lessons learned from their significant work." - Charles H. Dallara, Managing Director, Institute of international finance, inc. "Dangerous Markets is a 'must-read' in the current global environment for all serious investors and senior executives. The McKinsey authors bring a unique practitioners' perspective to the challenges of anticipating, managing, and succeeding in financial crises, and close with an intriguing call for leading private sector players to s tep up their role in promoting new market standards and structures to help avoid future financial crises and minimize their potential impact." - Robert R. Glauber, Chairman and CEO, NASD; former Under Secretary of the U.S. Treasury department and former Harvard business school professor.
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УДК:339.7
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ISBN:0-471-22686-6
Рекомендовано к ознакомлению
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- 2. Eichengreen, B. Financial Crises / B. Eichengreen. — Oxford : Oxford University Press, 2002. — 194 p.
- 3. Morris, C.R. The Two Trillion Dollar Meltdown: Easy Money, High Rollers, and the Great Credit Crash / C. R. Morris. — Revised and Updated. — New York : PublicAffairs, 2008. — 208 p.
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- 5. Liquidity Risk Measurement and Management / Ed. L. Matz, Ed. P. Neu. — Singapore : J.Wiley & Sons, 2007. — 395 p.
- 6. Kling, A. Unchecked and Unbalanced: How the Discrepancy Between Knowledge and Power Caused the Financial Crisis and Threatens Democracy / A. Kling. — Lanham : Rowman & Littlefield Publishers, 2010. — 122 p.. — (Hoover Studies in Politics, Economics, and Society). — ISBN 978-1-4422-0124-8.
- 7. Morris, C.R. The Trillion Dollar Meltdown: Easy Money, High Rollers, and the Great Credit Crash / C. R. Morris. — New York : PublicAffairs, 2008. — 194 p.
- 8. New International Financial Architecture / Ed. N. Roubini, Ed. M. Uzan. — Cheltenham : E. Elgar, 2005. — 632 p.
- 9. Chorafas, D.N. Managing Operational Risk / D.N. Chorafas. — London : Euromoney Books, 2001. — 238 p.
- 10. King, M.J. Back Office and Beyond / M.J. King. — 2th. ed.. — Hampshire : Harriman House, 2003. — 274 p.
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