Banking Products

  • The Dialectics of Liquidity Crisis

    An interpretation of explanations of the financial crisis of 2007-08

    By Chris Jefferis

    This book analyses the logic of applying the American Post-Keynesian economist Hyman Minsky’s Financial Instability Hypothesis (FIH) to the financial crisis of 2007-08. Arguing that most theories of financial crisis, including Minsky’s own, only describe events, but do not actually explain them,…

    Hardback – 2017-03-03 
    Routledge
    Routledge Advances in International Political Economy

  • Unchecked Corporate Power

    Why the Crimes of Multinational Corporations Are Routinized Away and What We Can Do About It

    By Gregg Barak

    Why are crimes of the suite punished more leniently than crimes of the street? When police killings of citizens go unpunished, political torture is sanctioned by the state, and the financial frauds of Wall Street traders remain unprosecuted, nothing succeeds with such regularity as the active…

    Paperback – 2017-03-03 
    Routledge
    Crimes of the Powerful

  • Financial Stability, Systems and Regulation

    By Jan Kregel

    Edited by Felipe Rezende

    The work of the late economist Hyman Minsky’s has never been more relevant than in the aftermath of the 2007-2008 global financial crisis. Throughout his career, Jan Kregel has called attention to Minsky’ contributions to understanding the evolution of financial systems, the development of…

    Hardback – 2017-03-01 
    Routledge
    Routledge Critical Studies in Finance and Stability

  • Accounting for Financial Instruments

    A Guide to Valuation and Risk Management

    By Emanuel Camilleri

    Accounting for Financial Instruments is about the accounting and regulatory framework associated with the acquisition and disposal of financial instruments; how to determine their value; how to manage the risk connected with them; and ultimately compile a business valuation report. Specifically,…

    Paperback – 2017-02-21 
    Routledge

  • Ethics and Responsibility in Finance

    By Paul Dembinski

    From the mid-1970s until the crisis in 2007, the world of finance enjoyed thirty euphoric years as general public, businesses and governments put their blind trust in financial techniques, professions and institutions. Shaken up by a structural crisis and a crisis of legitimacy, today’s financial…

    Hardback – 2017-02-14 
    Routledge
    Routledge Focus on Economics and Finance

  • International Macroeconomics for Business and Political Leaders

    By John E. Marthinsen

    International Macroeconomics for Business and Political Leaders explains the fundamentals of international macroeconomics in a very efficient and approachable text. It explores key macro concepts such as growth, unemployment, inflation, interest, and exchange rates. Crucially, it also examines how…

    Hardback – 2017-01-21 
    Routledge
    Routledge Focus on Economics and Finance

  • Law and Finance after the Financial Crisis

    The Untold Stories of the UK Financial Market

    Edited by Abdul Karim Aldohni

    The 2008 financial crisis has become one of the defining features of the twenty first century’s first decade. The series of events which unfolded in the aftermath of the crisis has exposed major structural flaws in many of the financial systems around the globe, triggering a global call for legal…

    Hardback – 2017-01-07 
    Routledge
    Routledge Research in Finance and Banking Law

  • Currencies and Currency Policies in the Global Economy

    By Kurt Hübner

    This book explains the volatility of the global foreign exchange markets by the interplay of political strategies and actions of market makers, looking at currency strategies put in place by the US, the Euro zone, Japan, China, and also Canada.…

    Hardback – 2017-01-01 
    Routledge
    Routledge International Studies in Money and Banking

  • Bank Regulation

    Effects on Strategy, Financial Accounting and Management Control

    Edited by Anna-Karin Stockenstrand, Fredrik Nilsson

    Bank Regulation: Effects on Strategy, Financial Accounting and Management Control discusses and problematizes how regulation is affecting bank strategies as well as their financial accounting and management control systems. Following a period of bank de-regulation, the new millennium brought a…

    Hardback – 2016-12-31 
    Routledge
    Routledge Studies in Accounting

  • Managing Financial Institutions

    Markets and Sustainable Finance

    By Elizabeth S. Cooperman

    This book goes beyond traditional financial institutions textbooks, which tend to focus on mathematical models for risk management and the technical aspects of measuring and managing risk. It focuses on the role of financial institutions in promoting social and economic goals for the…

    Paperback – 2016-12-20 
    Routledge

  • Shadow Banking

    Scope, Origins and Theories

    Edited by Anastasia Nesvetailova

    Shadow banking - a system of credit creation outside traditional banks - lies at the very heart of the global economy. It accounts for over half of global banking assets, and represents a third of the global financial system. It was also central to the development of the global financial crisis of…

    Hardback – 2016-12-15 
    Routledge
    Routledge Critical Studies in Finance and Stability

  • Ownership Economics

    On the Foundations of Interest, Money, Markets, Business Cycles and Economic Development

    By Gunnar Heinsohn, Otto Steiger

    Edited by Frank Decker

    This book presents the first full-length explanation in English of Heinsohn and Steiger's groundbreaking theory of money and interest, which emphasizes the role played by private property rights. Ownership economics gives an alternative explanation of money and interest, proposing that operations…

    Paperback – 2016-12-11 
    Routledge
    Routledge Frontiers of Political Economy

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