The Euro At Ten

The Euro At Ten

Author: Jean Pisani-Ferry

Publisher: Columbia University Press

Published: 2009-06-15

Total Pages: 237

ISBN-13: 0881325139

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Over the first ten years of its existence, the euro has proved to be more than a powerful symbol of collective identity. It has provided price stability to previously inflation-prone countries; it has offered a shelter against currency crises; and it has by and large been conducive to budgetary discipline. The eurozone has attracted five new members in addition to the initial eleven, and many countries in Europe wish to adopt it. The euro has also been successful internationally. Even though research presented in this volume confirms that it has not rivaled the dollar's world currency status, it has certainly become a strong regional currency in Europe and the Mediterranean region. Some countries in the region have de facto adopted it, several peg to it, and many have become at least partially euroized. However, the euro's impressive first decade is likely to be followed by a much more difficult period. The present financial crisis is posing at least two important challenges: real economic adjustment within the euro area and maintenance of fiscal and financial stability without a central government authority capable of taking appropriate financial and fiscal decisions in difficult times. The papers and remarks in this volume demonstrate that the euro has proved to be attractive as a fair weather currency for countries and investors well beyond its borders. But it remains to be seen whether it is equipped to also succeed as a stormy weather currency.


The Euro-Mediterranean Partnership

The Euro-Mediterranean Partnership

Author: Richard Gillespie

Publisher: Routledge

Published: 2013-09-13

Total Pages: 208

ISBN-13: 1135253897

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Established in 1995, the Euro-Mediterranean Partnership aims to create a free trade area including 30 countries and 800 million people by early in the 21st century. This book offers an assessment of the Partnership and its aims.


Inside The Euro Crisis

Inside The Euro Crisis

Author: Simeon Djankov

Publisher: Columbia University Press

Published: 2014-04-12

Total Pages: 240

ISBN-13: 0881326860

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In mid-2009 Simeon Djankov, who had dealt with a variety of economic and financial crises as chief economist for finance and private sector development at the World Bank, was suddenly thrust into the job of finance minister of his native Bulgaria. For nearly four years in that post, he attended more than 40 meetings of European finance ministers and had a front row seat at the intense discussions and struggles to overcome the economic and financial crisis that threatened to unravel the historic undertaking of an economically integrated Europe. In this personal account, Djankov details his odyssey on the front lines, observing Europe's fitful efforts to contain crises in Greece, Hungary, Ireland, Portugal, Spain, Italy, Cyprus, and France. He tells the inside story of how the European Central Bank assumed responsibility for the crisis, pledging to do "whatever it takes" to save the euro area. This candid book recounts the disagreements over fiscal austerity, monetary policy, and banking supervision, while focusing on the personalities who promoted progress—and those who opposed it. He also tells the dramatic story of the events that led to his own resignation as finance minister in 2013 over the policies he was pursuing to spare Bulgaria from getting sucked into the crisis.


Migrants in Europe

Migrants in Europe

Author: European Union. Eurostat

Publisher:

Published: 2011

Total Pages: 148

ISBN-13: 9789279162312

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Migration has become an increasingly important phenomenon for European societies. Patterns of migration flows can change greatly over time, with the size and composition of migrant populations reflecting both current and historical patterns of migration flows. Combined with the complexity and long-term nature of the migrant integration process, this can present challenges to policy-makers who need good quality information on which to base decisions. It is important that the statistics should go beyond the basic demographic characteristics of migrants and present a wider range of socio-economic information on migrants and their descendants. This publication looks at a broad range of characteristics of migrants living in the European Union and EFTA countries. It looks separately at the foreign-born, the foreign citizens, and the second generation. It addresses a variety of aspects of the socio-economic situation of migrants including labour market situation, income distribution, and poverty. The effects of different migration-related factors (i.e. reason of migration, length of residence) are examined. The situation of migrants is compared to that of the non-migrant reference population.


Coins of FRANCE 1901-2014

Coins of FRANCE 1901-2014

Author: Tomasz Kosinski

Publisher: Tomasz Kosinski

Published: 2014-05-04

Total Pages: 53

ISBN-13:

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Coins of FRANCE 1901-2014 (05/2014) from a serie "Coins of Europe Catalog 1901-2014" finally in .pdf for the Tablets! (English e-version) Pictures of every coin, description, weight, size, metal composition and fair market value of coins based on average or lowest prices from recent auctions. Prices in Euro. You can also download from my website FREE of charge smaller chapters (e.g. Albania, Croatia, Cyprus, Estonia, Iceland, Ireland, Latvia, Lithuania, Liechtenstein,Luxemburg, Macedonia, Malta, Moldawia, Monaco, Montenegro, Serbia, Slovakia, Slovenia...) from newest -"Coins of Europe, Catalog 1901-2014" (Prepared for the Tablets, Laptops or Smartphones). Please check also my other e-catalogs. Clients who buy e-catalogs will also receive updates (2-3 times a year)!! Thank you! Tomasz Kosinski numiKOs


Handbook of Fixed-Income Securities

Handbook of Fixed-Income Securities

Author: Pietro Veronesi

Publisher: John Wiley & Sons

Published: 2016-04-04

Total Pages: 630

ISBN-13: 1118709195

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A comprehensive guide to the current theories and methodologies intrinsic to fixed-income securities Written by well-known experts from a cross section of academia and finance, Handbook of Fixed-Income Securities features a compilation of the most up-to-date fixed-income securities techniques and methods. The book presents crucial topics of fixed income in an accessible and logical format. Emphasizing empirical research and real-life applications, the book explores a wide range of topics from the risk and return of fixed-income investments, to the impact of monetary policy on interest rates, to the post-crisis new regulatory landscape. Well organized to cover critical topics in fixed income, Handbook of Fixed-Income Securities is divided into eight main sections that feature: • An introduction to fixed-income markets such as Treasury bonds, inflation-protected securities, money markets, mortgage-backed securities, and the basic analytics that characterize them • Monetary policy and fixed-income markets, which highlight the recent empirical evidence on the central banks’ influence on interest rates, including the recent quantitative easing experiments • Interest rate risk measurement and management with a special focus on the most recent techniques and methodologies for asset-liability management under regulatory constraints • The predictability of bond returns with a critical discussion of the empirical evidence on time-varying bond risk premia, both in the United States and abroad, and their sources, such as liquidity and volatility • Advanced topics, with a focus on the most recent research on term structure models and econometrics, the dynamics of bond illiquidity, and the puzzling dynamics of stocks and bonds • Derivatives markets, including a detailed discussion of the new regulatory landscape after the financial crisis and an introduction to no-arbitrage derivatives pricing • Further topics on derivatives pricing that cover modern valuation techniques, such as Monte Carlo simulations, volatility surfaces, and no-arbitrage pricing with regulatory constraints • Corporate and sovereign bonds with a detailed discussion of the tools required to analyze default risk, the relevant empirical evidence, and a special focus on the recent sovereign crises A complete reference for practitioners in the fields of finance, business, applied statistics, econometrics, and engineering, Handbook of Fixed-Income Securities is also a useful supplementary textbook for graduate and MBA-level courses on fixed-income securities, risk management, volatility, bonds, derivatives, and financial markets. Pietro Veronesi, PhD, is Roman Family Professor of Finance at the University of Chicago Booth School of Business, where he teaches Masters and PhD-level courses in fixed income, risk management, and asset pricing. Published in leading academic journals and honored by numerous awards, his research focuses on stock and bond valuation, return predictability, bubbles and crashes, and the relation between asset prices and government policies.