語系:
繁體中文
English
說明(常見問題)
登入
回首頁
切換:
標籤
|
MARC模式
|
ISBD
The Financial Implications of China’...
~
van der Linden, René W.H.
The Financial Implications of China’s Belt and Road Initiative = A Route to More Sustainable Economic Growth /
紀錄類型:
書目-語言資料,印刷品 : Monograph/item
正題名/作者:
The Financial Implications of China’s Belt and Road Initiative/ by Piotr Łasak, René W.H. van der Linden.
其他題名:
A Route to More Sustainable Economic Growth /
作者:
Łasak, Piotr.
其他作者:
van der Linden, René W.H.
面頁冊數:
XV, 189 p. 22 illus., 17 illus. in color.online resource. :
Contained By:
Springer Nature eBook
標題:
International finance. -
電子資源:
https://doi.org/10.1007/978-3-030-30118-7
ISBN:
9783030301187
The Financial Implications of China’s Belt and Road Initiative = A Route to More Sustainable Economic Growth /
Łasak, Piotr.
The Financial Implications of China’s Belt and Road Initiative
A Route to More Sustainable Economic Growth /[electronic resource] :by Piotr Łasak, René W.H. van der Linden. - 1st ed. 2019. - XV, 189 p. 22 illus., 17 illus. in color.online resource.
Chapter 1. Introduction -- Chapter 2. China’s four decades of reforms and development -- Chapter 3. China’s new style of globalization as a route to a more sustainable growth path -- Chapter 4. The Rationale for the ‘Belt and Road’ initiative -- Chapter 5. China’s financial deepening and its ‘Belt and Road’ funding dilemma in a global context -- Chapter 6. Concluding Remarks and Recommendations -- Bibliography.
This book systematically discusses the contribution of the Belt and Road Initiative (BRI) to China’s transition from an emerging to an advanced economic and financial system after more than five years. From a historical perspective, it explains to what extent the BRI plan is effective enough to help China bounce back from its economic slowdown and the financial implications in a policy trilemma context. Further, it investigates both the rationale of the BRI and its pitfalls, focusing on the various options for financing the project based on the Mundell & Fleming model. The book also analyses the impact of the BRI as well as possible policy options to deal with China’s policy trilemma in a structurally more balanced “new normal” economic growth model. Lastly, it reviews the financial stability issues concerning liberalization policies in China. Piotr Łasak, PhD. received his MA in Economics from the Krakow University of Economics, Poland and his PhD in Finance from Jagiellonian University, Poland, where he is currently an Assistant Professor at the Institute of Economics, Finance and Management. His research focuses on topics related to international financial market development, including financial market regulation and supervision, mechanisms of financial and currency crises and shadow banking system development (especially in China). He has published several dozen articles related to these abovementioned topics. René van der Linden received his MSc in 1987 from the Economics Faculty at the University of Amsterdam and is currently a senior lecturer in Economics and Finance in the International Business program at The Hague University of Applied Sciences, Netherlands. His research interests, with practical applications in education, focus on topics in the field of international financial markets, transition economies and emerging markets, banking and finance, international trade economics and doing business in Asia and the EU. He has published several papers on the Chinese economy and financial system and is co-author of the textbook European Business Environment.
ISBN: 9783030301187
Standard No.: 10.1007/978-3-030-30118-7doiSubjects--Topical Terms:
560389
International finance.
LC Class. No.: HG3879-3898
Dewey Class. No.: 332.042
The Financial Implications of China’s Belt and Road Initiative = A Route to More Sustainable Economic Growth /
LDR
:03982nam a22003975i 4500
001
1003608
003
DE-He213
005
20200704134500.0
007
cr nn 008mamaa
008
210106s2019 gw | s |||| 0|eng d
020
$a
9783030301187
$9
978-3-030-30118-7
024
7
$a
10.1007/978-3-030-30118-7
$2
doi
035
$a
978-3-030-30118-7
050
4
$a
HG3879-3898
072
7
$a
KCLF
$2
bicssc
072
7
$a
BUS027000
$2
bisacsh
072
7
$a
KFF
$2
thema
082
0 4
$a
332.042
$2
23
100
1
$a
Łasak, Piotr.
$e
author.
$4
aut
$4
http://id.loc.gov/vocabulary/relators/aut
$3
1296999
245
1 4
$a
The Financial Implications of China’s Belt and Road Initiative
$h
[electronic resource] :
$b
A Route to More Sustainable Economic Growth /
$c
by Piotr Łasak, René W.H. van der Linden.
250
$a
1st ed. 2019.
264
1
$a
Cham :
$b
Springer International Publishing :
$b
Imprint: Palgrave Pivot,
$c
2019.
300
$a
XV, 189 p. 22 illus., 17 illus. in color.
$b
online resource.
336
$a
text
$b
txt
$2
rdacontent
337
$a
computer
$b
c
$2
rdamedia
338
$a
online resource
$b
cr
$2
rdacarrier
347
$a
text file
$b
PDF
$2
rda
505
0
$a
Chapter 1. Introduction -- Chapter 2. China’s four decades of reforms and development -- Chapter 3. China’s new style of globalization as a route to a more sustainable growth path -- Chapter 4. The Rationale for the ‘Belt and Road’ initiative -- Chapter 5. China’s financial deepening and its ‘Belt and Road’ funding dilemma in a global context -- Chapter 6. Concluding Remarks and Recommendations -- Bibliography.
520
$a
This book systematically discusses the contribution of the Belt and Road Initiative (BRI) to China’s transition from an emerging to an advanced economic and financial system after more than five years. From a historical perspective, it explains to what extent the BRI plan is effective enough to help China bounce back from its economic slowdown and the financial implications in a policy trilemma context. Further, it investigates both the rationale of the BRI and its pitfalls, focusing on the various options for financing the project based on the Mundell & Fleming model. The book also analyses the impact of the BRI as well as possible policy options to deal with China’s policy trilemma in a structurally more balanced “new normal” economic growth model. Lastly, it reviews the financial stability issues concerning liberalization policies in China. Piotr Łasak, PhD. received his MA in Economics from the Krakow University of Economics, Poland and his PhD in Finance from Jagiellonian University, Poland, where he is currently an Assistant Professor at the Institute of Economics, Finance and Management. His research focuses on topics related to international financial market development, including financial market regulation and supervision, mechanisms of financial and currency crises and shadow banking system development (especially in China). He has published several dozen articles related to these abovementioned topics. René van der Linden received his MSc in 1987 from the Economics Faculty at the University of Amsterdam and is currently a senior lecturer in Economics and Finance in the International Business program at The Hague University of Applied Sciences, Netherlands. His research interests, with practical applications in education, focus on topics in the field of international financial markets, transition economies and emerging markets, banking and finance, international trade economics and doing business in Asia and the EU. He has published several papers on the Chinese economy and financial system and is co-author of the textbook European Business Environment.
650
0
$a
International finance.
$3
560389
650
0
$a
Economic development—Environmental aspects.
$3
1278932
650
0
$a
Economic policy.
$3
555567
650
0
$a
Economics.
$3
555568
650
0
$a
Political economy.
$2
bicssc
$3
809016
650
1 4
$a
International Finance.
$3
1139823
650
2 4
$a
Development and Sustainability.
$3
1171843
650
2 4
$a
Political Economy/Economic Systems.
$3
1210824
650
2 4
$a
International Political Economy.
$3
1171863
700
1
$a
van der Linden, René W.H.
$e
author.
$4
aut
$4
http://id.loc.gov/vocabulary/relators/aut
$3
1297000
710
2
$a
SpringerLink (Online service)
$3
593884
773
0
$t
Springer Nature eBook
776
0 8
$i
Printed edition:
$z
9783030301170
776
0 8
$i
Printed edition:
$z
9783030301194
776
0 8
$i
Printed edition:
$z
9783030301200
856
4 0
$u
https://doi.org/10.1007/978-3-030-30118-7
912
$a
ZDB-2-ECF
912
$a
ZDB-2-SXEF
950
$a
Economics and Finance (SpringerNature-41170)
950
$a
Economics and Finance (R0) (SpringerNature-43720)
筆 0 讀者評論
多媒體
評論
新增評論
分享你的心得
Export
取書館別
處理中
...
變更密碼[密碼必須為2種組合(英文和數字)及長度為10碼以上]
登入