Economic Management in a Volatile Environment: Monetary and Financial Issues
Author | : | |
Rating | : | 4.77 (504 Votes) |
Asin | : | 1349475629 |
Format Type | : | paperback |
Number of Pages | : | 283 Pages |
Publish Date | : | 2013-11-03 |
Language | : | English |
DESCRIPTION:
He is also the Co-director of the Center for Emerging Market Policies (CEMP) at SPGIA, GMU. RAJAN is a Professor of International Economic Policy at the School of Policy, Government and International Affairs (SPGIA), George Mason University (GMU) and has been on the faculty since January 2006. He obtained his Bachelors and Masters degrees in Economics from Loyola College (Chennai) and Madras School of Economics (Chennai), respectively. He completed his PhD in Public Policy, specializing in International Finance at the School of Policy, Government and International Affairs (SPGIA), George Mason University, USA. He is the Managing Editor of the Journal of International Commerce, Economics and Policy, Associate Editor of the Singa
Ramkishen S. He completed his PhD in Public Policy, specializing in International Finance at the School of Policy, Government and International Affairs (SPGIA), George Mason University, USA. He is also the Co-director of the Center for Emerging Market Policies (CEMP) at SPGIA, GMU. He is the Managing Editor of the Journal of International Com
It explores the implications of a key set of issues emanating from financial globalisation on emerging market economies in a rigorous but readable manner.. This book discusses some of the challenges relating to macroeconomic and financial management in a volatile and uncertain world brought about by greater financial openness
Five Stars Fabio D Noronha Great review of current macro research, with emphasis on EM economies. I strogly recommend it.