Item Details

Print View

Managing the Euro Area Debt Crisis

William R. Cline
Format
Book
Published
Washington, DC : Peterson Institute for International Economics, 2014.
Language
English
ISBN
9780881326871, 0881326879
Contents
  • Overview and policy implications
  • Fiscal adjustment, growth, and default risk
  • The bank-sovereign debt nexus
  • External adjustment and breakup costs
  • Eurobonds, firewalls, outright monetary transactions, and debt restructuring
  • European debt simulation model projections : Ireland, Italy, Portugal, and Spain
  • Debt restructuring and economic prospects in Greece.
Description
xvii, 218 pages : illustrations ; 23 cm
Notes
Includes bibliographical references (pages 201-209) and index.
Technical Details
  • Access in Virgo Classic
  • Staff View

    LEADER 02038cam a2200529 i 4500
    001 u6390480
    003 SIRSI
    005 20140915111818.0
    008 140313t20142014dcua b 001 0 eng
    010
      
      
    a| 2014009202
    016
    7
      
    a| 016724001 2| Uk
    020
      
      
    a| 9780881326871
    020
      
      
    a| 0881326879
    035
      
      
    a| (Sirsi) o868039669
    035
      
      
    a| (OCoLC)868039669 z| (OCoLC)867763957
    042
      
      
    a| pcc
    043
      
      
    a| e------
    040
      
      
    a| DLC b| eng e| rda c| DLC d| BTCTA d| YDXCP d| UKMGB d| JHE d| OCLCO d| WCL d| LGG d| CDX
    050
    0
    0
    a| HJ8615 b| .C55 2014
    082
    0
    0
    a| 336.3/4094 2| 23
    100
    1
      
    a| Cline, William R., e| author.
    245
    1
    0
    a| Managing the euro area debt crisis / c| William R. Cline.
    264
      
    1
    a| Washington, DC : b| Peterson Institute for International Economics, c| 2014.
    264
      
    4
    c| ©2014
    300
      
      
    a| xvii, 218 pages : b| illustrations ; c| 23 cm
    336
      
      
    a| text b| txt 2| rdacontent
    337
      
      
    a| unmediated b| n 2| rdamedia
    338
      
      
    a| volume b| nc 2| rdacarrier
    504
      
      
    a| Includes bibliographical references (pages 201-209) and index.
    505
    0
      
    a| Overview and policy implications -- Fiscal adjustment, growth, and default risk -- The bank-sovereign debt nexus -- External adjustment and breakup costs -- Eurobonds, firewalls, outright monetary transactions, and debt restructuring -- European debt simulation model projections : Ireland, Italy, Portugal, and Spain -- Debt restructuring and economic prospects in Greece.
    650
      
    0
    a| Debts, Public z| European Union countries.
    650
      
    0
    a| Monetary policy z| European Union countries.
    650
      
    0
    a| Currency crises z| European Union countries.
    651
      
    0
    a| European Union countries x| Economic policy.
    596
      
      
    a| 2
    999
      
      
    a| HJ8615 .C55 2014 w| LC i| X031652493 l| STACKS m| ALDERMAN t| BOOK
▾See more
▴See less

Availability

Google Preview

Google Books Preview
Library Location Map Availability Call Number
Alderman Stacks Map Available