Theory of Money and Financial Institutions
(Sprache: Englisch)
This first volume in a three-volume exposition of Shubik's vision of "mathematical institutional economics" explores a one-period approach to economic exchange with money, debt, and bankruptcy.
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Produktinformationen zu „Theory of Money and Financial Institutions “
This first volume in a three-volume exposition of Shubik's vision of "mathematical institutional economics" explores a one-period approach to economic exchange with money, debt, and bankruptcy.
Autoren-Porträt von Martin Shubik
Martin Shubik is Seymour Knox Professor of Mathematical Institutional Economics (Emeritus) at Yale University's Cowles Foundation and School of Management.
Bibliographische Angaben
- Autor: Martin Shubik
- 2004, Maße: 15,2 x 2,2 cm, Taschenbuch, Englisch
- Verlag: MIT University Press Group Ltd
- ISBN-10: 0262693119
- ISBN-13: 9780262693110
Sprache:
Englisch
Rezension zu „Theory of Money and Financial Institutions “
"These two volumes, with a gestation period of over thirty years, represent a thorough synthesis of a lifelong dedication to bringing together general equilibrium theory and game theory in conceiving a theory of money and financial economics that would be an abstract reflection of observed financial institutions and actual trading behavior in advanced free-market economics.... Overall, these two volumes form a unique blend of high theory and institutional economics, with very creative links between the two. The whole makes for stimulating, provocative, and enjoyable reading for a broad audience of economists and social scientists." - Rabah Amir, Journal of Institutional and Theoretical Economics"
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