Managing Financial Risks —— From Global to Local

----- 从全球到地方管理金融风险

ISBN: 9780199557431 出版年:2009 页码:350 Oxford University Press

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内容简介

Preface Introduction SECTION I: GOVERNING GLOBAL FINANCIAL RISK 1. The Changing Political Geography of Financial Crisis Management 2. Is Financial Governance Feasible in the Neoliberal Era 3. Institutional Investors and Risk Management SECTION II: PLACE, PROXIMITY, AND RISK 4. The Practicalities of Being Inaccurate: Steps Towards the Social Geography of Financial Risk Management 5. Learning to Cope with Uncertainty: On the Spatial Distributions of Financial Innovation and its Fall-out 6. The Role of Proximity in Secondary Markets SECTION III: URBAN RISK 7. Infrastructure Investment and the Management of Risk 8. Balancing Risk and Return in Urban Investing 9. Managing Financial Risks in Urban Environments SECTION IV: INDIVIDUALS IN A RISK WORLD 10. Managing Financial Risk: The Strange Case of Housing 11. Gender, Risk, and Occupational Pensions 12. Consumer Credit, Self-Discipline, and Risk Management

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