Manias, Panics, and Crashes: A History of Financial Crises
暫譯: 狂熱、恐慌與崩潰:金融危機的歷史
Aliber, Robert Z., Kindleberger, Charles P., McCauley, Robert N.
- 出版商: Palgrave MacMillan
- 出版日期: 2023-03-07
- 售價: $1,460
- 貴賓價: 9.8 折 $1,430
- 語言: 英文
- 頁數: 425
- 裝訂: Quality Paper - also called trade paper
- ISBN: 303116007X
- ISBN-13: 9783031160073
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相關分類:
Fintech
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相關主題
商品描述
In the Eighth Edition of this classic text on the financial history of bubbles and crashes, Robert McCauley joins with Robert Aliber in building on Charles Kindleberger's renowned work. McCauley draws on his central banking experience to introduce new chapters on cryptocurrency and the United States as the 21st Century global lender of last resort. He also updates the book's coverage of the recent property bubble in China, as well as providing new perspectives on the US housing bubble of 2003-2006, and the Japanese bubble of the late 1980s. And he gives new attention to the social psychology that leads people to take the risk of investing in Ponzi schemes and asset price bubbles. For the first time in this revised and updated edition, figures highlight key points to ensure that today's generation of finance and economic researchers, students, practitioners and policy-makers--as well as investors looking to avoid crashes--have access to this panoramic history of financial crisis.
商品描述(中文翻譯)
在這本經典的金融泡沫與崩潰歷史的第八版中,羅伯特·麥考利(Robert McCauley)與羅伯特·阿利伯(Robert Aliber)合作,基於查爾斯·金德伯格(Charles Kindleberger)著名的作品進行擴展。麥考利利用他在中央銀行的經驗,新增了有關加密貨幣和美國作為21世紀全球最後貸款人的新章節。他還更新了書中對中國近期房地產泡沫的討論,並提供了對2003-2006年美國房地產泡沫及1980年代末日本泡沫的新視角。此外,他還特別關注導致人們冒險投資於龐氏騙局和資產價格泡沫的社會心理學。在這個修訂和更新的版本中,首次使用圖表來突出關鍵點,以確保當今的金融和經濟研究者、學生、從業者和政策制定者,以及希望避免崩潰的投資者,都能接觸到這部全景式的金融危機歷史。
作者簡介
Robert Z. Aliber is Professor Emeritus of International Economics and Finance at the University of Chicago Booth School of Business, USA. He was director of the Center for Studies in International Finance; on the research staff for the Committee for Economic Development and Commission on Money and Credit; and senior economic advisor for the Agency for International Development, U.S. Department of State. Aliber has consulted to the Board of Governors of the Federal Reserve System and to other U.S. government agencies, the World Bank and the International Monetary Fund, testified before committees of the Congress, and lectured extensively in the United States and abroad.
The late Charles P. Kindleberger was the Ford Professor of Economics at MIT for 33 years and author of over 30 books. He was best known as a financial historian, whom the Economist referred to as 'the master of the genre' on financial crisis. Headvanced the study of international finance and helped to devise the Marshall Plan, approved by Congress, for Europe's reconstruction after World War II. During his tenure at MIT, Kindleberger was a consultant to the federal government several times, most often for the Treasury and the Federal Reserve. In 1985, he was president of the American Economic Association.
Robert N. McCauley is a wide-ranging economist with particular expertise in international financial markets and the global domain of the dollar. His central banking career spanned 38 years at the Federal Reserve Bank of New York and the Bank for International Settlements (BIS), including three years as head of the BIS Asian Office in Hong Kong SAR. In 1999, he co-authored Dodging Bullets: Changing U.S. Corporate Capital Structures in the 1980s and 1990s, an application of the Minsky-Kindleberger model to the corporate leveraging mania. He is currently nonresident senior fellow at the Global Development Policy Center at Boston University and associate member of the Faculty of History at the University of Oxford.
作者簡介(中文翻譯)
羅伯特·Z·阿利伯是美國芝加哥大學布斯商學院的國際經濟學與金融學名譽教授。他曾擔任國際金融研究中心的主任;擔任經濟發展委員會和貨幣與信貸委員會的研究人員;以及美國國務院國際開發署的高級經濟顧問。阿利伯曾為美國聯邦儲備系統理事會及其他美國政府機構、世界銀行和國際貨幣基金組織提供諮詢,並在國會委員會作證,還在美國及國外廣泛講授。
已故的 查爾斯·P·金德伯格 在麻省理工學院擔任經濟學福特教授達33年,並著有超過30本書籍。他以金融歷史學家的身份最為人知,經濟學人稱他為金融危機類型的“大師”。他推進了國際金融的研究,並幫助設計了馬歇爾計劃,該計劃獲得國會批准,用於二戰後歐洲的重建。在麻省理工學院任職期間,金德伯格多次擔任聯邦政府的顧問,最常為財政部和聯邦儲備系統服務。1985年,他擔任美國經濟學會的會長。
羅伯特·N·麥考利是一位廣泛的經濟學家,特別專注於國際金融市場和美元的全球領域。他的中央銀行職業生涯跨越了38年,曾在紐約聯邦儲備銀行和國際結算銀行(BIS)工作,其中包括在香港特別行政區擔任BIS亞洲辦公室負責人三年。1999年,他共同撰寫了躲避子彈:1980年代和1990年代美國企業資本結構的變化,該書將明斯基-金德伯格模型應用於企業槓桿狂潮。現在,他是波士頓大學全球發展政策中心的非駐地高級研究員,以及牛津大學歷史系的副成員。