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Titolo: | Managing Financial Risks Amid China's Economic Slowdown / / edited by Yang Li |
Pubblicazione: | Singapore : , : Springer Singapore : , : Imprint : Springer, , 2019 |
Edizione: | 1st ed. 2019. |
Descrizione fisica: | 1 online resource (XIX, 166 p. 73 illus., 71 illus. in color.) |
Disciplina: | 339 |
Soggetto topico: | Macroeconomics |
Risk management | |
Development economics | |
Macroeconomics/Monetary Economics//Financial Economics | |
Risk Management | |
Development Economics | |
Persona (resp. second.): | LiYang |
Nota di contenuto: | Chapter 1. Interest Burden and Debt Sustainability, by Zhang Xiaojing et al -- Chapter 2. The Sophistication of China’s Financial System, by Fan Lijun & Yin Jianfeng -- Chapter 3 Corporate Leveraging from the Perspective of Return on Assets--Two-Level Deviations of Macro and Micro Leverage Ratios by Cai Zhen et al -- Chapter 4 Debt Risks of China’s Government Sector, by Chang Xin et al -- Chapter 5 Status and Prevention of Banking Sector Risks, by Zeng Gang -- Chapter 6 Monetary Policy in the Context of Deleveraging, by Peng Xingyun. |
Sommario/riassunto: | The book is based on the research concerning China’s National Balance Sheet (NBS) which is conducted by NIFD, the unique research groups in China focusing on NBS. The relative data have been quoted by the IMF, Chinese government sectors, influential investment banks at home and abroad. This book offers readers a unique edited work that systematically presents solutions to manage financial risk in the context of the current situation in China. |
Titolo autorizzato: | Managing Financial Risks Amid China's Economic Slowdown |
ISBN: | 981-13-5752-8 |
978-981-13-5752-7 | |
Formato: | Materiale a stampa |
Livello bibliografico | Monografia |
Lingua di pubblicazione: | Inglese |
Record Nr.: | 9910350322003321 |
Lo trovi qui: | Univ. Federico II |
Opac: | Controlla la disponibilità qui |