Evolving Roles of Sovereign Wealth Managers After Fin Crisis
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Book Overview Consider these phenomena: In this book, Professor Lee has tried to better understand sovereign wealth management in the context of saver ...
Consider these phenomena: In this book, Professor Lee has tried to better understand sovereign wealth management in the context of saver and debtor countries, by presenting a unified model that can explain these observed phenomena. His attempt is a clear departure from traditional theories, in which these observations would be considered aberrations from "standard assumptions". Although no model is perfect, this new framework can be useful to explain why, for example, it will be bad economic news for all if saver countries use their public surpluses to hoard food and fuel.This accessible book is built from a scholarly paper presented by Professor Lee at the venerable Annual Meeting of the American Economic Association.
Book Details Format: Hardcover | Pages: 122 | Language: English | Publisher: WORLD SCIENTIFIC PUB CO INC | ISBN: 9814452475
FormatHardcover
Pages122
LanguageEnglish
ISBN9814452475
EAN9789814452472
PublisherWORLD SCIENTIFIC PUB CO INC
Publication Date1970-01-01
EditionIllustrated
AccessoriesNo Accessory
ConditionNew
Product TypeHARD COVER BOOKS
Weight0.8 Pounds
Length9.1 Inches
Width6.1 Inches
Height0.6 Inches
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