
Financial Market Bubbles and Crashes, Second Edition: Features, Causes, and Effects
توسط
Harold L. Vogel
هنوز رتبهبندی نشده است
History
Business & Economics
فرمت
کیندل
صفحات
871
زبان
آلمانی
منتشر شده
Jan 1, 2018
ناشر
Palgrave Macmillan
نسخه
2
ISBN-10
3319715283
ISBN-13
9783319715285
توضیحات
Harold L. Vogel delves into the complex phenomenon of financial market bubbles and crashes, exploring their intricacies with a critical eye. He dissects how these volatile events emerge, examining the underlying features and the interplay of various forces that drive asset prices to unsustainable levels. The work is anchored in a rich historical context, allowing readers to appreciate the patterns and behaviors that have characterized financial markets over time.
Vogel presents a thorough analysis of the mechanisms that precipitate these bubbles, highlighting the psychological and societal factors at play. He offers insight into the consequences of such market movements, presenting the broader implications for economies and investors alike. By weaving together case studies and empirical data, he illustrates the recurring nature of these cycles.
The narrative is particularly engaging for those seeking to understand not just the "what," but the "why" behind financial upheavals. Vogel’s expertise shines through as he skillfully navigates the turbulent waters of financial theory, making the complexities accessible to both scholars and general readers interested in economic phenomena.
Ultimately, this exploration serves as a crucial resource for anyone wanting to comprehend the dynamics that shape financial markets and the important lessons that can be learned from past experiences. Through careful examination and thoughtful analysis, Vogel equips readers with the knowledge to better anticipate and react to the dynamics of bubbles and crashes in the financial landscape.
Vogel presents a thorough analysis of the mechanisms that precipitate these bubbles, highlighting the psychological and societal factors at play. He offers insight into the consequences of such market movements, presenting the broader implications for economies and investors alike. By weaving together case studies and empirical data, he illustrates the recurring nature of these cycles.
The narrative is particularly engaging for those seeking to understand not just the "what," but the "why" behind financial upheavals. Vogel’s expertise shines through as he skillfully navigates the turbulent waters of financial theory, making the complexities accessible to both scholars and general readers interested in economic phenomena.
Ultimately, this exploration serves as a crucial resource for anyone wanting to comprehend the dynamics that shape financial markets and the important lessons that can be learned from past experiences. Through careful examination and thoughtful analysis, Vogel equips readers with the knowledge to better anticipate and react to the dynamics of bubbles and crashes in the financial landscape.
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