The Financial Crisis of 2008: A History of Us Financial Markets 2000-2012
暫譯: 2008年金融危機:2000-2012年美國金融市場的歷史

Wigmore, Barrie A.

  • 出版商: Cambridge
  • 出版日期: 2022-01-06
  • 售價: $1,970
  • 貴賓價: 9.5$1,872
  • 語言: 英文
  • 頁數: 450
  • 裝訂: Hardcover - also called cloth, retail trade, or trade
  • ISBN: 1108837638
  • ISBN-13: 9781108837637
  • 海外代購書籍(需單獨結帳)

商品描述

Supported by ten years of research, Wigmore has gathered extensive data covering the 2008 financial crisis and subsequent recovery to provide the first comprehensive history of the period. Financial crises cannot occur unless institutional investors finance the bubbles that created them. Wigmore follows the trail of data putting pressure on institutional investors to achieve higher levels of returns that led to over-leverage throughout the financial system and placed such a burden on recovery. Here is a 'very good picture - and painful reminder - of the crisis' evolution across multiple asset classes, structures, participants, and geographies.' This work serves as a critical analysis of modern portfolio management and an important reference work for financial professionals, academics, investors, and students.

商品描述(中文翻譯)

根據十年的研究,Wigmore 收集了大量數據,涵蓋了 2008 年金融危機及其後的復甦,提供了該時期的第一部全面歷史。金融危機的發生必須依賴機構投資者為創造這些泡沫提供資金。Wigmore 追蹤數據的足跡,揭示了機構投資者為了實現更高的回報而施加的壓力,這導致了整個金融系統的過度槓桿,並對復甦造成了沉重的負擔。這裡呈現了一幅「非常清晰的圖景——也是對危機演變的痛苦提醒——涵蓋了多種資產類別、結構、參與者和地理區域。」這部作品對現代投資組合管理進行了關鍵分析,並且是金融專業人士、學者、投資者和學生的重要參考資料。