Studies in International Economics and Finance / India Studies in Business and Economics (PDF)
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This festschrift volume presents discussions on contemporary issues in international economics and finance. It is aimed to serve as a reference material for researchers. There are two broad sections of the book -- International Macroeconomics and International Finance. The chapters in the International Macroeconomics section discuss critical topics like aggregate level macro model for India with a new Keynesian perspective, balance of payments, service sector exports, foreign exchange constraints for import demands, foreign direct investment and knowledge spill over, the relationship between forex rate fluctuation and investment, Institutional quality-trade openness-economic growth nexus, currency crises and debt-deficit relationship in the BRICS countries in the backdrop of COVID-19. Apart from these, various analytical issues related to macroeconomic policies are also covered in this section. The topics discussed includes the nature of forex market interventions, the issue of disinvestment and privatization, changing nature of fiscal policy, the inflation-growth nexus, macroeconomic simulation modelling, measuring core inflation, central bank credibility, monetary policy, inflation targeting, Infrastructure, trade, unemployment and inequality nexus. In the International Finance section, topics such as COVID-19 induced financial crisis, commodity futures volatility, stock market connectivity, volatility persistence, determinants of sovereign bond yields, FII and stock market volatility, cryptocurrency price formation, financialization of Indian commodity market, and a Keynesian view of the financial crisis are discussed. Overall, thirty two chapters in the volume discuss cutting edge research in the areas of the two sections.
A tour de force... a lucid guide to some of the diverse and complex issues in International Macroeconomics and Finance. This collection of scholarly works is a fitting tribute to respected Prof. Bandi Kamaiah and hisenviable academic contributions.
- Prof. Y V Reddy, Former Governor, Reserve Bank of India
This volume comprising thoughtful essays by our leading scholars on some of important policy issues that India is facing is indeed a rich tribute to Professor Bandi Kamaiah . This book will greatly benefit the academic community as well as our policy makers.
- Prof. Vijay Kelkar, Chairman, 13th Finance Commission of India; Chairman, India Development Foundation, Mumbai, India
Noted economists from India and abroad gather to apply the rigorous searchlight that Professor Bandi Kamaiah used so effectively in his career. Major current topics in macroeconomics and international finance are effectively explored in the volume.
- Prof.Ashima Goyal, Emeritus Professor, Indira Gandhi Institute of Development Research, Mumbai, India; and Member, Monetary Policy Committee of Reserve Bank of India
This volume of 32 papers in macroeconomics, international economics, and international finance is intended as a tribute to the eminent econometrician , Prof B Kamaiah. Post-graduate students and researchers will find much valuable literature in the volume, which is a fitting tribute to Prof Kamaiah. The editors and authors deserve rich compliments.
- Prof. K L Krishna, Former Director, Delhi School of Economics, New Delhi, India
I am so happy to hear that Dr. Kamaiah's colleagues and ex-students are bringing out a special volume of articles in his honor. Nothing can be more appropriate. Dr. Kamaiah, being a man of tremendous publications, deserves this tribute. I wish all the luck and success to the new book.
- Prof. Kishore Kulkarni, Distinguished Professor of Economics, Metropolitan State University of Denver, USA
Dr. Rajendra N. Paramanik is Assistant Professor, economics and finance, IIT Patna. Prior to this he served as an assistant professor at BITS Pilani. He obtained his MA, M.Phil as well as PhD from University of Hyderabad and serves as reviewer of many international journals. He works on Macro-dynamic modeling and financial econometrics and has been invited as resource person for several workshops on Time Series Econometrics. His papers have been published in journals such as , Journal of Public Affairs (Wiley) , Journal of Global Entrepreneurship Research (Springer), Journal of Quantitative Economics (Springer) , Economic Annals, GeoJournal: Spatially Integrated Social Sciences and Humanities (Springer), International Journal of Entrepreneurship and Small Business (Inderscience) , Artha Vijnana,to name some. He also published research articles in edited volume of Springer, Taylor and Francis and Emerald. He writes editorial article for Hindu Business Line and he is passionate about Yoga and Poetry.
Dr. Anoop S Kumar is Assistant Professor, Gulati Institute of Finance and Taxation, Trivandram, India. Prior to this, he has served at Central University of Andhra Pradesh, Hyderabad, and BITS Pilani, India. His work has been published in journals such as Journal of Public Affairs, IUP Journal of Applied Economics, Journal of Financial Innovations, Singapore Economic Review, Indian Economic Review, Economic Annals, to name some.
- 2022, 1st ed. 2022, 662 Seiten, Englisch
- Herausgegeben: Naoyuki Yoshino, Rajendra N. Paramanik, Anoop S. Kumar
- Verlag: Springer Nature Singapore
- ISBN-10: 9811670625
- ISBN-13: 9789811670626
- Erscheinungsdatum: 30.03.2022
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