Förlagets beskrivning
Global financial markets are on the threshold of a new age. After decades of dramatic transformation in national financial markets and financial services industries, a more or less perfectly integrated and globalized system has emerged. Financial Markets in Transition uses empirical analysis of financial markets in Denmark, Finland, Norway and Sweden - including comparisons with the markets of the US, UK, Germany and Japan- to withdraw important conclusions about the different pace at which small national financial systems are adapting to global financial intergration. Lars Oxelheim emphasises the interaction between politicians and markets, and pin-poinst bond market inefficiencies and risk premiums as key factors between economic and corporate competitive performance during and after the phase of transition. The text will be valuable reading for researchers and students of international corporate finance and economics, as well for decision makers in corporations, banks and government.
Lars Oxelheim is Professor at the Institute of Economic Research, Lund University, and affiliated to the Research Institute of Industrial Economics (IUI) in Stockholm.
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Financial markets in transition
Bokrecensioner » Financial markets in transition - Globalization, investment and economic gr
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