Bibliographic Information

World financial markets after 1992

edited by Hans Genberg and Alexander K. Swoboda

(A Publication of the Graduate Institute of International Studies, Geneva)

Kegan Paul International , Distributed by John Wiley & Sons , Distributed by Routledge, Chapman & Hall, 1993

Available at  / 29 libraries

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Note

Includes bibliographical references

Description and Table of Contents

Description

First published in 1993. Routledge is an imprint of Taylor & Francis, an informa company.

Table of Contents

  • Introduction, Hans Genberg and Alexander K. Swoboda. Part 1 European economic and financial integration: new directions in economic integration, Robert Mundell
  • the European Community's policy towards financial integration, Paolo Clarotti. Part 2 Implications for the EEC: the gains from European banking integration - a call for an active pro-competition policy, Jean Dermine
  • the rationale for investment in the European Community equity markets 1991-1992, Dennis L. Bark and Bertrand Jacquillaf. Part 3 Implications for the third countries: financial integration in Europe - the EFTA perspective, Emil Ems
  • is national treatment still viable? US policy in theory and practice, Sydney J. Key. Part 4 The worldwide structure of financial markets: reconfiguration of global financial markets in the 1990s, Roy C. Smith and Ingo Walter)
  • world banking and securities markets after 1992, Gunther Broker. Part 5 Implications for multinational and inter-regional cooperation and policy: '92 and after - the international supervisory challenge.

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