Managing Financial Risks
From Global to Local
Gordon L Clark editor Adam D Dixon editor Ashby H B Monk editor
Format:Hardback
Publisher:Oxford University Press
Published:23rd Jul '09
Currently unavailable, and unfortunately no date known when it will be back
Recent market turmoil, bank runs, global equities sell-off, and the 'credit crunch' have demonstrated the sophisticated and interconnected nature of financial markets today - seemingly localized problems have quickly spread, putting at risk the solvency of both local and global financial institutions. As these markets are increasingly complex, interconnected, and embedded in the daily lives of individuals, there is a pressing need to unravel and understand the complexities and prospects of this new and transformative social, political, and geographical paradigm. This book brings together a group of leading scholars from a range of disciplines to formulate a more holistic understanding of financial risk by rooting it in different environments, spatial scales, and disciplines. The result is an all-encompassing exposition of current and future financial risk management practices, possibilities, and problems.
a vitally important volume in the continued development of research into the geographies of money and finance...it will be invaluable to scholars working in both economic geography and the social sciences more generally Sarah Hall, Journal of Economic Geography
ISBN: 9780199557431
Dimensions: 241mm x 162mm x 23mm
Weight: 740g
352 pages