Monetary Policy in Interdependent Economies: The Task Ahead
Kokores, Ioanna T.
- 出版商: Springer
- 出版日期: 2024-10-05
- 售價: $4,690
- 貴賓價: 9.5 折 $4,456
- 語言: 英文
- 頁數: 250
- 裝訂: Quality Paper - also called trade paper
- ISBN: 303141960X
- ISBN-13: 9783031419607
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商品描述
This book explores the challenges faced by central banks in the aftermath of the global financial crisis and the events that followed. It further emphasises the asymmetries in the transmission of monetary policy in the Eurozone economies and among major advanced economies. The book also highlights the advances in the monetary policy debate towards an efficient resource allocation.
The author argues that the canonical model of macroeconomic stabilization, which assigns the main burden of stabilization to monetary policy, is outdated primarily because of the absence of financial frictions. Further, she highlights the urgency of pushing risky activities outside the perimeters of regulation in face of rapidly evolving financial markets. The book provides an analytical framework in the context of intense globalisation and increased interdependence across economies, irrespective of the recent re-examining of supply-chains and trade relationships, as well as a policy framework thoroughly amended after the global financial crisis and the crises that followed it.
Presenting policy proposals, the book discusses how policymakers must try to develop a set of policies that the public will have confidence in and take into account in forming expectations about future inflation and spending. It will be useful to central banking practitioners, monetary and fiscal policymakers, as well as students and scholars in economics and, in particular, financial economics.
商品描述(中文翻譯)
本書探討了全球金融危機及其後續事件中中央銀行所面臨的挑戰。它進一步強調了歐元區經濟體及主要先進經濟體在貨幣政策傳導中的不對稱性。本書還突顯了貨幣政策辯論在有效資源配置方面的進展。
作者認為,將宏觀經濟穩定的主要負擔歸於貨幣政策的經典模型已經過時,主要原因在於缺乏金融摩擦。此外,她強調在快速演變的金融市場面前,將風險活動推向監管邊界之外的緊迫性。本書提供了一個分析框架,考量到激烈的全球化及經濟間日益增加的相互依賴性,無論是最近對供應鏈和貿易關係的重新檢視,還是全球金融危機及其後續危機後徹底修訂的政策框架。
本書提出政策建議,討論政策制定者必須努力發展一套公眾能夠信任的政策,以便在形成對未來通脹和支出預期時考慮進去。這對中央銀行從業者、貨幣和財政策劃者,以及經濟學,特別是金融經濟學的學生和學者將會非常有用。
作者簡介
Ioanna T. Kokores is an Assistant Professor in "Monetary Theory and Policy" at the Department of Economics, School of Economics, Business and International Studies, University of Piraeus, Greece. She is lead editor of the book "Money, Trade and Finance: Recent Trends and Methodological Issues" (Palgrave Macmillan), and author of "Monetary Policy and Financial Stability: Challenges before and after the Global Financial Crisis" (Cambridge Scholars Publishing).
作者簡介(中文翻譯)
Ioanna T. Kokores 是希臘比雷埃夫斯大學經濟學院經濟系的「貨幣理論與政策」助理教授。她是書籍《貨幣、貿易與金融:近期趨勢與方法論問題》(Palgrave Macmillan)的主編,並且是《貨幣政策與金融穩定:全球金融危機前後的挑戰》(Cambridge Scholars Publishing)的作者。