説明
Sebastian Meyer explores the resilience of the American financial market regulation during the tumultuous period of the 2008 international financial crisis. Through a detailed analysis, he highlights the unique elements that allowed the US system to not only survive but also adapt in the face of global economic challenges.
Meyer delves into the intricate interplay between government policy and market dynamics, revealing how regulatory frameworks enacted in the US played a pivotal role in stabilizing the financial landscape. His insights offer a compelling look at the lessons learned and the implications for future regulatory measures.
The book invites readers to consider the broader significance of financial regulation, challenging conventional beliefs about economic collapse and recovery. It serves as a critical resource for those interested in the complexities of financial markets and the efficacy of regulatory strategies in times of crisis.
Meyer delves into the intricate interplay between government policy and market dynamics, revealing how regulatory frameworks enacted in the US played a pivotal role in stabilizing the financial landscape. His insights offer a compelling look at the lessons learned and the implications for future regulatory measures.
The book invites readers to consider the broader significance of financial regulation, challenging conventional beliefs about economic collapse and recovery. It serves as a critical resource for those interested in the complexities of financial markets and the efficacy of regulatory strategies in times of crisis.
本の詳細
形式
ペーパーバック
ページ数
637ページ
言語
英語
公開されました
Sep 30, 2018
出版社
Independently published
ISBN-10
1724186035
ISBN-13
9781724186034