<The> new paradigm for financial markets: the credit crisis of 2008 and what it means
Recenzia na publikáciu: <The> new paradigm for financial markets: the credit crisis of 2008 and what it means od Georga Sorosa. Stručne o autorovi. Podstatné myšlienky novej publikácie. Prierez finančnými trhmi niekoľkých dekád. Stručná charakteristika kapitol.
Gespeichert in:
| 1. Verfasser: | |
|---|---|
| Format: | Buchkapitel |
| Sprache: | Englisch |
| Schlagworte: | |
| Tags: |
Keine Tags, Fügen Sie das erste Tag hinzu!
|
Ähnliche Einträge: <The> new paradigm for financial markets: the credit crisis of 2008 and what it means
- Financial stability, world financial crisis and financial markets´ regulation: some new issues
- <A> Look back at the 2008 financial crisis: the disconnect between credit and market risks
- Credit allocation and financial crisis in Korea
- Can we improve understanding of the financial market dependencies in the crisis by their decomposition?
- <The> Impact of the financial crisis on the capital market in the V4 countries
- Financial spillovers to emerging markets during the global financial crisis