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Books by Subject

International Finance Books

You are currently browsing 1–10 of 87 new and published books in the subject of International Finance — sorted by publish date from newer books to older books.

For books that are not yet published; please browse forthcoming books.

New and Published Books

  1. Global View on the World Economy

    A Global Analysis

    By Horst Siebert

    Series: Routledge Studies in the Modern World Economy

    As globalization continues apace, market segmentations are diminishing, distance is shrinking and the boundaries between nation states are becoming increasingly blurred. National economies are closely interlinked through manychannels and we rarely view things from a single country’s view, adopting...

    Published June 19th 2013 by Routledge

  2. Towards a Socioanalysis of Money, Finance and Capitalism

    Beneath the Surface of the Financial Industry

    Edited by Susan Long, Burkard Sievers

    Series: Routledge International Studies in Money and Banking

    The current global financial crisis has raised awareness of the impact the world of finance has on the economy and the future of democracy. Following the crisis, this book aims at a deep understanding of the human psycho-social dynamics beneath the surface of the financial industry, its markets and...

    Published June 13th 2013 by Routledge

  3. Foreign Investment and Dispute Resolution Law and Practice in Asia

    Edited by Vivienne Bath, Luke Nottage

    Series: Routledge Research in International Economic Law

    This book considers foreign investment flows in major Asian economies. It critically assesses the patterns and issues involved in the substantive law and policy environment which impact on investment flows, as well as the related dispute resolution law and practice. The book combines insights from...

    Published May 6th 2013 by Routledge

  4. Financing Regional Growth and the Inter-American Development Bank

    The Case of Argentina

    By Ernesto Vivares

    Series: Routledge Studies in Development Economics

    The crisis of the current global financial order is challenging us to critically reflect on how this order has been driven, and the development outcomes produced by its central political and economic actors. There is a great deal of academic knowledge about the role of the international financial...

    Published April 15th 2013 by Routledge

  5. Copulae and Multivariate Probability Distributions in Finance

    Edited by Alexandra Dias, Mark Salmon, Chris Adcock

    Portfolio theory and much of asset pricing, as well as many empirical applications, depend on the use of multivariate probability distributions to describe asset returns. Traditionally, this has meant the multivariate normal (or Gaussian) distribution. More recently, theoretical and empirical work...

    Published March 20th 2013 by Routledge

  6. Finance in Asia

    Institutions, Regulation and Policy

    By Qiao Liu, Paul Lejot, Douglas W. Arner

    Series: Routledge Advanced Texts in Economics and Finance

    Asia’s demand for second-generation financial institutions and markets needs to be met in order for the region’s further development to be sustained. This book provides a compelling, fact-based assessment of current practices and regulations in Asia’s financial institutions and markets and...

    Published February 25th 2013 by Routledge

  7. Capital, Inflation and the Multinationals (Routledge Revivals)

    By Charles Levinson

    Series: Routledge Revivals

    Inflation is the economic plague of the modern world, completely undermining conventional theory and policies for its containment, and setting governments, management and labour on a dangerous collision course. Its alarming spread is only paralleled by the expansion of multinational corporations,...

    Published January 23rd 2013 by Routledge

  8. The Sterling-Dollar-Franc Tangle (Routledge Revivals)

    By Paul Einzig

    Series: Routledge Revivals

    First published in 1933, the original purpose of this book was to draw attention to the international aspects of monetary policy and to put forward the case for international co-operation in the monetary sphere. Paul Einzig highlights the negative impact that a lack of international spirit in...

    Published December 3rd 2012 by Routledge

  9. History and Financial Crisis

    Lessons from the 20th century

    Edited by Christopher Kobrak, Mira Wilkins

    One striking weaknesses of our financial architecture, which helped bring on and perhaps deepen the Panic of 2008, is an inadequate appreciation of the past. Information about how the system functioned and the reliability of organizations and institutional controls were drawn from a relatively...

    Published November 11th 2012 by Routledge

  10. Political Economy of the Gulf Sovereign Wealth Funds

    A Case Study of Iran, Kuwait, Saudi Arabia and the United Arab Emirates

    By Sara Bazoobandi

    Series: Routledge Studies in Middle Eastern Economies

    Using four Gulf sovereign wealth funds as case studies – Iran, Kuwait, Saudi Arabia and the UAE - this book examines and analyses the history, governance and structure, and investment strategies of the above mentioned funds, in the context of on-going debates about their transparency. The book...

    Published October 28th 2012 by Routledge