Sovereign risk and financial crisis : the international political economy of the eurozone

Bibliographic Information

Sovereign risk and financial crisis : the international political economy of the eurozone

Silvia Pepino

(International political economy series)

Palgrave Macmillan, 2015

  • : hardback

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Description and Table of Contents

Description

This book provides an original and timely insight into the role that the domestic and international political economy played in the Eurozone sovereign debt crisis, combining an innovative theoretical framework with in-depth bond market analysis.

Table of Contents

PART I: SOVEREIGN RISK, POLITICS AND THE EUROZONE CRISISi. Introduction 1. Sovereign Risk, Developed Democracies and Financial Crisis 2. Sovereign Risk and the Debt Crisis in the Eurozone 3. The Focus of the Book 4. The Approach in the Book 5. Outline of the Book PART II: BOND SPREADS, EMU DESIGN AND THE RUN-UP TO THE CRISIS 1. Introduction 2. Adaptive Markets and Sovereign Risk Models 3. The Political Sources of Sovereign Credibility in Financial Markets 4. International Influences on Sovereign Risk Perceptions 5. Theoretical Pillars PART III: BOND SPREADS, EMU DESIGN AND THE RUN-UP TO THE CRISISi. Introduction 1. Government Bond Spreads and EMU Design 2. Greece and Ireland: The Macro and Political Economy 3. Politics and Spreads Before 2008 PART IV: THE GREEK SOVEREIGN DEBT CRISIS 1. Introduction 2. Evolving Investment Analysis and the Greek Sovereign Debt Crisis 3. Domestic Political Economy of the Greek Sovereign Debt Crisis 4. International Political Economy of the Greek Sovereign Debt Crisis 5. Key results from the Greek Case Study PART V: THE IRISH SOVEREIGN DEBT CRISIS 1. Introduction 2. Evolving Investment Analysis and the Irish Sovereign Debt Crisis 3. Domestic Political Economy of the Irish Sovereign Debt Crisis 4. International Political Economy of the Irish Sovereign Debt Crisis 5. Key results from the Irish Case Study PART VI: THE IPE OF THE EUROZONE SOVEREIGN DEBT CRISIS 1. Introduction 2. Lessons from the Greek and Irish Cases 3. Application to other Eurozone Sovereigns 4. Next Steps in IPE Research 5. Implications for Policy 6. Final Remarks

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