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The New paradigm for financial markets: the credit crisis of 2008 and what it means

Author: Soros, George Publisher: Public Affairs, 2008.Language: EnglishDescription: 162 p. ; 20 cm.ISBN: 1586486837Type of document: Book
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Item type Current location Collection Call number Status Date due Barcode Item holds
Book Asia Campus
Main Collection
Print HG1616 .C7 S67 2008
(Browse shelf)
900185318
Checked out 02/06/2022 900185318
Book Europe Campus
Main Collection
Print HG1616 .C7 S67 2008
(Browse shelf)
001246407
Available 001246407
Total holds: 0

Digitized

Contents The New Paradigm for Financial Markets The New Paradigm for Financial Markets Introduction Setting the Stage vii Xlll ... Part One: Perspective 1, 2. 3. 4. The Core Idea Autobiography of a Failed Philosopher The Theory of Reflexivity Reflexivity in Financial Markets Part Two: The Current Crisis and Beyond 5. 6. 7. 8. The Super-Bubble Hypothesis Autobiography of a Successful Speculator My Outlook for 2008 Some Policy Recommendations Conclusion Acknowledgments About the Author

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