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Finance Books

You are currently browsing 11–20 of 648 new and published books in the subject of 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 – Page 2

  1. A History of Financial Crises

    Dreams and Follies of Expectations

    By Cihan Bilginsoy

    Series: Economics as Social Theory

    "Once-in-a-lifetime" financial crises have been a recurrent part of life in the last three decades. It is no longer possible to dismiss or ignore them as aberrations in an otherwise well-functioning system. Nor are they peculiar to recent times. Going back in history, asset price bubbles and...

    Published November 30th 2014 by Routledge

  2. Contemporary Issues in Financial Institutions and Markets

    Volume II

    Edited by Claudia Girardone, Philip Hamill, John O.S. Wilson

    This book showcases recent academic work on contemporary issues in financial institutions and markets. It covers a broad range of topics, highlighting the diverse nature of academic research in banking and finance. As a consequence the contributions cover a wide range of issues across a broad...

    Published November 27th 2014 by Routledge

  3. High Frequency Trading and Limit Order Book Dynamics

    Edited by Ingmar Nolte, Mark Salmon, Chris Adcock

    This book brings together the latest research in the areas of market microstructure and high-frequency finance along with new econometric methods to address critical practical issues in these areas of research. Thirteen chapters, each of which makes a valuable and significant contribution to the...

    Published November 27th 2014 by Routledge

  4. Investment and Employment Opportunities in China

    By Jeffrey Yi-Lin Forrest, Tao Lixin

    Series: Systems Evaluation, Prediction, and Decision-Making

    Presenting the most recent statistical data, Investment and Employment Opportunities in China provides first-of-its-kind coverage of the regional economic, industrial, investment, and employment structures in China. After establishing the theoretical foundation, the rest of the book utilizes the...

    Published November 20th 2014 by CRC Press

  5. Cycles, Growth and the Great Recession

    Edited by Annalisa Cristini, Stephen Fazzari, Edward Greenberg, Riccardo Leoni

    Series: Routledge Critical Studies in Finance and Stability

    Cycles, Growth and the Great Recession is a collection of papers that assess the nature and role of the business cycle in contemporary economies. These assessments are made in the context of the financial market instability that distinguishes the Great Recession from previous post-war slowdowns....

    Published November 19th 2014 by Routledge

  6. Designing a European Fiscal Union

    Lessons from the Experience of Fiscal Federations

    Edited by Carlo Cottarelli, Martine Guerguil

    Series: Routledge Studies in the European Economy

    Does the European Union need closer fiscal integration, and in particular a stronger fiscal centre, to become more resilient to economic shocks? This book looks at the experience of 13 federal states to help inform the heated debate on this issue. It analyses in detail their practices in devolving...

    Published November 17th 2014 by Routledge

  7. Monetary Reform in Theory and Practice (Routledge Revivals)

    By Paul Einzig

    Series: Routledge Revivals

    First published in 1936, this book gives the reader an insight into the tendencies and spirit of the monetary reform movement as a whole, as accomplished or proposed since the First World War. The author marks the consideration of the overall reform as being more important than specifically looking...

    Published November 12th 2014 by Routledge

  8. International Bond Markets (Routledge Revivals)

    Edited by David H. Gowland

    Series: Routledge Revivals

    First published in 1990, International Bond Markets analyses how the markets in public-sector debt have developed and how they operate in a number of countries, including those with chronic budget deficits. Alongside a detailed introduction to government borrowing, chapters consider the bond...

    Published November 12th 2014 by Routledge

  9. Monetary Policy and Credit Control (Routledge Revivals)

    The UK Experience

    By David H. Gowland

    Series: Routledge Revivals

    This book, first published in 1978, provides an analysis of British monetary policy and considers what techniques of monetary control were most appropriate to the context of the U.K. during the 1970s and 1980s. David Gowland answers crucial questions surrounding economic management in the period...

    Published November 12th 2014 by Routledge

  10. Controlling the Money Supply (Routledge Revivals)

    By David H. Gowland

    Intended as a successor to Monetary Policy and Credit Control (Croom Helm, 1978; Routledge Revivals, 2013), this book, first published in 1982 with a revised edition in 1984, traces the changes in approach to monetary control in the U.K. throughout the 1970s, and the consequences for policy and the...

    Published November 12th 2014 by Routledge