The new paradigm for financial markets : the credit crisis of 2008 and what it means 的封面图片
The new paradigm for financial markets : the credit crisis of 2008 and what it means
題名:
The new paradigm for financial markets : the credit crisis of 2008 and what it means
著者:
Soros, George
ISBN(國際標準書號):
9781586486839
版本:
1st ed.
出版資訊:
New York : PublicAffairs, 2008
規格:
xxiv, 162, [3] p. ; cm
內容:
Introduction -- Setting the stage -- The core idea -- Autobiography of a failed philosopher -- The theory of reflexivity -- Reflexivity in financial markets -- The super-bubble hypothesis -- Autobiography of a successful speculator -- My outlook for 2008 -- Some policy recommendations
摘要:
In the midst of the most serious financial upheaval since the Great Depression, legendary financier George Soros explores the origins of the crisis and its implications for the future. In a concise essay that combines practical insight with philosophical depth, Soros makes an invaluable contribution to our understanding of the great credit crisis and its implications for our nation and the world
主題:
Financial crises -- United States
Credit -- United States
United States -- Economic policy
United States -- Economic conditions -- 21st century
摘要:
In the midst of the most serious financial upheaval since the Great Depression, legendary financier George Soros explores the origins of the crisis and its implications for the future. In a concise essay that combines practical insight with philosophical depth, Soros makes an invaluable contribution to our understanding of the great credit crisis and its implications for our nation and the world