Global Financial Markets: Issues and Strategies
By (Author) Dilip K. Ghosh
Edited by Mohamed Ariff
Bloomsbury Publishing PLC
Praeger Publishers Inc
30th June 2004
United States
Tertiary Education
Non Fiction
332.042
Hardback
280
In the evolving environment of global financial markets, governments, corporations, individual investors, and their associated financial institutions must grapple with a host of thorny issues that affect emerging economies with particular force, as we saw during the Asian financial crisis of the late 1990s. Among the issues analysed by some of the top financial scholars from around the world are covered arbitrage possibilities in the absence of hedging instruments; the effect of capital controls on capital flows; the potential impact of currency unification, as well as the possibilities for pegging currency in the context of floating foreign exchange regimes; regulatory reforms; and political risk analysis.
Dilip K. Ghosh is Professor of Finance at Rutgers University in New Jersey and serves as Kuala Lumpur Stock Exchange Chair Professor of Finance at Universiti Utara, Malaysia. He is also the editor of the International Journal of Finance. Mohamed Ariff is Professor of Finance at Monash University in Australia and Bumiputra-Commerce Bank Chair in Banking and Finance at Universiti Utara, Malaysia.