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11551

国際的ネットワーク、アドヴォカシー、 EUのエネルギー政策決定 Bocse, Alexandra-Maria, International Networks, Advocacy and EU Energy Policy-Making. (Palgrave Studies in European Union Politics) 245 pp. 2020:10 (Palgrave Macmillan, UK) <660-1432 660-363>

ISBN 978-3-030-49504-6 hard ¥26,726.- (税込) (※)価格はご注文時の参考価格となります。
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EUR 99.99
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This book explores the role which policy networks and particularly advocacy coalitions play in EU energy policy, and the factors that account for their policy success. It captures the often neglected interaction between public and private actors in EU energy security policy and between opposing advocacy coalitions. The volume's case studies examine coalitions working on two issues central to EU energy policy debates over the last decade: fracking for shale gas and developing the Southern Gas Corridor, a pipeline system linking Europe with the gas region of the Caspian Sea. Although the coalitions studied are focused on impacting EU energy policy, they stretch beyond the EU borders. The book draws on original, rich, and intriguing data, around 90 interviews with energy stakeholders and over six months of fieldwork and participant observation, analysed through an innovative combination of frame analysis and social network analysis.
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11552

Arcos-Vargas, Angel (ed.), The Role of the Electric Vehicle in the Energy Transition : A Multidimensional Approach. (Green Energy and Technology) 192 pp. 2020:9 (Springer, GW) <660-L711 660-L753>

ISBN 978-3-030-50632-2 hard ¥34,745.- (税込) (※)価格はご注文時の参考価格となります。
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EUR 129.99
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This book explores the part that electric vehicles can play in reducing carbon dioxide emissions. Further, it explains the impact of public support, technological advances, lower costs and better battery performance in making electric vehicles a viable alternative.

The book begins by analyzing the international context of electric vehicles and how they are being developed in different countries, and by offering a forecast of the electricity demand they may create. It then discusses technological innovations in electric vehicle recharging systems. The book is concerned not only with the economic potential of electric vehicles, but also with environmental aspects; consequently, it examines the raw materials supply chain and performs a lifecycle assessment. The book concludes with a chapter on alternative energies in transport, which may also help to facilitate the energy transition.

Given its scope, the book offers a valuable resource for researchers, graduate students, policymakers and industry professionals interested in the energy transition and transport.


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11553

Ugur, Ömer (ed.), Rethinking European Union in a Changing World : Politics, Economics and Issues. 276 pp. 2020:9 (P. Lang, SZ) <660-L2000 660-L709>

ISBN 978-3-631-82936-3 paper ¥14,899.- (税込) (※)価格はご注文時の参考価格となります。
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SFR 51.70
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With the establishment of the EU, the goals and policies pursued through European Communities, and the targets and policies covered by new action areas, which include Economic and Monetary Union, European Citizenship, Common Security and Foreign Policy which will be progressed gradually by European Union treaty, have started to be addressed as a whole. The identity of the EU at the global level has also experienced change. In this context, the EU represents a political structure on its own, with its institu-tions, activities and authority, which constitute a supranational structure. Of course, it is not possible to say that this process continues without any problems and disputes. However, when we look at the development process of the EU, it is seen that this change and the transformation continue in the context of the requirements and the process continues dynamically. In this context, this study includes other studies discussing the developments of the EU in different policy spaces. In these studies, it has been examined whether EU policies have an impact on national structures, practices and actors and if there is, how and under what conditions this has become clear.
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11554

R.ポムフレット著 欧州の経済統合 Pomfret, Richard, The Economic Integration of Europe. 224 pp. 2021:5 (Harvard U. Pr., US) <660-P1379 661-404>

ISBN 978-0-674-24413-9 hard ¥9,606.- (税込) (※)価格はご注文時の参考価格となります。
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US$ 41.00
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The clearest and most up-to-date account of the achievements-and setbacks-of the European Union since 1945.

Europe has been transformed since the Second World War. No longer a checkerboard of entirely sovereign states, the continent has become the largest single-market area in the world, with most of its members ceding certain economic and political powers to the central government of the European Union. This shift is the product of world-historical change, but the process is not well understood. The changes came in fits and starts. There was no single blueprint for reform; rather, the EU is the result of endless political turmoil and dazzling bureaucratic gymnastics. As Brexit demonstrates, there are occasional steps backward, too. Cutting through the complexity, Richard Pomfret presents a uniquely clear and comprehensive analysis of an incredible achievement in economic cooperation.

The Economic Integration of Europe follows all the major steps in the creation of the single market since the postwar establishment of the European Coal and Steel Community. Pomfret identifies four stages of development: the creation of a customs union, the deepening of economic union with the Single Market, the years of monetary union and eastward expansion, and, finally, problems of consolidation. Throughout, he details the economic benefits, costs, and controversies associated with each step in the evolution of the EU. What lies ahead? Pomfret concludes that, for all its problems, Europe has grown more prosperous from integration and is likely to increase its power on the global stage.

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11555

Eisenriegler, Sepp (ed.), The Circular Economy in the European Union : An Interim Review. 238 pp. 2020:9 (Springer, GW) <660-L2430 660-L705>

ISBN 978-3-030-50238-6 hard ¥18,707.- (税込) (※)価格はご注文時の参考価格となります。
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EUR 69.99
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The implementation of the circular economy will entail a major transformation from a resource-destroying, linear economy to a circular one that operates within the planet's regenerative boundaries. This book presents an interim assessment of the implementation of a circular economy in the EU. It reveals what achievements have been made in various EU institutions, but which are scarcely perceived by the public; which basic scientific principles can be applied in this context; and what NGOs are demanding beyond this progress. It provides convincing arguments for abandoning the "hamster wheel" of material-based satisfaction of our needs, and shows that the primacy of the economy stands in the way of a good life for all. Given its focus, it will appeal to everyone interested in an ecologically sustainable economic system.


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11556

Vogelmann, Jörg, Ascending China and the Hegemonic United States : Economically Based Cooperation or Strategic Power Politics? (Globale Gesellschaft und internationale Beziehungen) 664 pp. 2020:9 (Springer VS, GW) <660-L1968 660-L2135>

ISBN 978-3-658-31659-4 paper ¥34,745.- (税込) (※)価格はご注文時の参考価格となります。
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EUR 129.99
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Joerg Vogelmann looks into one of the central political and economic relationships of the 21st century. The author finds Sino-U.S. ties marked by strong, slightly asymmetric (economic) interdependence, a relatively fast economic power transition under way as well as slow to moderate shifts in military power. He develops a neoliberal and a neorealist grand theory picture of Sino-U.S. and international relations, and empirically verifies these influential perspectives by analyzing post-Cold War Chinese and U.S. foreign policies in the major flashpoints the Taiwan and the North Korea issue. Despite and due to globalization, ties between ascending China (as a potential regional or once even global U.S. challenger) and the hegemonic United States may likely continue to be marked by strategic power politics - and will decisively affect trans- and international relations.
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11557

Thies, Clifford F., Global Economics : A Holistic Approach. (Capitalist Thought: Studies in Philosophy, Politics, and Economics) 254 pp. 2018 (Lexington Books, US) * paper 2020:7 <660-L699 660-P1360>

ISBN 978-1-4985-4615-7 hard ¥30,096.- (税込) (※)価格はご注文時の参考価格となります。
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GB£ 95.00
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ISBN 978-1-4985-4617-1 paper ¥12,035.- (税込) (※)価格はご注文時の参考価格となります。
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GB£ 37.99
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Global Economics looks beyond the mere interaction of national economies as is implied by the term 'international economics.' It examines the integration of national economies into the emerging global economy. In keeping with the subtitle A Holistic Approach, the book considers the roles of technology, political arrangements, the rule of law, natural resources, climate change, social institutions and values, in addition to the role of economics (narrowly defined). In fact, recourse to abstract economic analysis is restrained, and discussion is replete with concrete examples and case studies. Specific topics include trade theory, policy and agreements, foreign exchange, exchange rate determination and hedging, international capital and labor flows, financial crises and development. The book details the changes that took place with the Industrial Revolution and the subsequent spread of market economics and democratic government. It develops the classic theory of comparative advantage, and then applies and extends the theory to explain the complex trade patterns of today. It uses game theory to analyze trade policy, and the tragedy of the commons to address the resource curse. The book covers topics such as the relationship of defense to trade policy not typically considered by international economics, in addition to taking a fresh approach to the traditional topics.
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11558

ステークホルダー資本主義 Schwab, Klaus, Stakeholder Capitalism: A Global Economy that Works for Progress, People and Planet. 256 pp. 2021:2 (Wiley, US) <660-357 660-P1359>

ISBN 978-1-119-75613-2 hard ¥5,845.- (税込) (※)価格はご注文時の参考価格となります。
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US$ 24.95
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Reimagining our global economy so it becomes more sustainable and prosperous for all

Our global economic system is broken. But we can replace the current picture of global upheaval, unsustainability, and uncertainty with one of an economy that works for all people, and the planet. First, we must eliminate rising income inequality within societies where productivity and wage growth has slowed. Second, we must reduce the dampening effect of monopoly market power wielded by large corporations on innovation and productivity gains. And finally, the short-sighted exploitation of natural resources that is corroding the environment and affecting the lives of many for the worse must end.

The debate over the causes of the broken economy-laissez-faire government, poorly managed globalization, the rise of technology in favor of the few, or yet another reason-is wide open. Stakeholder Capitalism: A Global Economy that Works for Progress, People and Planet argues convincingly that if we don't start with recognizing the true shape of our problems, our current system will continue to fail us. To help us see our challenges more clearly, Schwab-the Founder and Executive Chairman of the World Economic Forum-looks for the real causes of our system's shortcomings, and for solutions in best practices from around the world in places as diverse as China, Denmark, Ethiopia, Germany, Indonesia, New Zealand, and Singapore. And in doing so, Schwab finds emerging examples of new ways of doing things that provide grounds for hope, including:

  • Individual agency: how countries and policies can make a difference against large external forces
  • A clearly defined social contract: agreement on shared values and goals allows government, business, and individuals to produce the most optimal outcomes
  • Planning for future generations: short-sighted presentism harms our shared future, and that of those yet to be born
  • Better measures of economic success: move beyond a myopic focus on GDP to more complete, human-scaled measures of societal flourishing

By accurately describing our real situation, Stakeholder Capitalism is able to pinpoint achievable ways to deal with our problems. Chapter by chapter, Professor Schwab shows us that there are ways for everyone at all levels of society to reshape the broken pieces of the global economy and-country by country, company by company, and citizen by citizen-glue them back together in a way that benefits us all.

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11559

Salvatore, Dominick, International Economics. Asia Edition. 13th ed. 720 pp. 2019:11 (Wiley, US) <660-L698 660-P1358>

ISBN 978-1-119-66753-7 paper ¥18,744.- (税込) (※)価格はご注文時の参考価格となります。
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US$ 80.00
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11560

Ma, Winston / Downs, Paul, The Hunt for Unicorns : How Sovereign Funds Are Reshaping Investment in the Digital Economy. 384 pp. 2020:11 (Wiley, US) <660-L697 660-P1357>

ISBN 978-1-119-74660-7 paper ¥9,359.- (税込) (※)価格はご注文時の参考価格となります。
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US$ 39.95
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Who holds the power in financial markets? For many, the answer would probably be the large investment banks, big asset managers, and hedge funds that are often in the media's spotlight. But more and more a new group of sovereign investors, which includes some of the world's largest sovereign wealth funds, government pension funds, central bank reserve funds, state-owned enterprises, and other sovereign capital-enabled entities, have emerged to become the most influential capital markets players and investment firms, with $30 trillion in assets under management ("super asset owners").

Their ample resources, preference for lower profile, passive investing, their long-time horizon and adherence to sustainability as well as their need to diversify globally and by sector have helped to transform the investment world and, in particular, private markets for digital companies. They have helped create and sustain an environment that has fostered the rise of the likes of Uber, Alibaba, Spotify and other transformative players in the digital economy, while providing their founders and business models the benefit of long-term capital.

Despite this increasingly important impact, sovereign investors remain mostly unknown, often maintaining a low profile in global markets. For the same reason, they're also among the most widely misunderstood, as many view investments made by sovereign investors as purely driven by political aims. The general perception is that most sovereign investors lack transparency and have questionable governance controls, causing an investee nation to fear exposure to risks of unfair competition, data security, corruption, and non-financially or non-economically motivated investments.

The current global tensions around the AI race and tech competition - and now the corona virus pandemic - have exacerbated such misperceptions, spawning controversies around sovereign investors and capital markets, governments, new technologies, cross-border investments, and related laws and regulations. As such, sovereign capital and the global digital economy are undergoing an unprecedented, contentious moment.

In short, the emergence of sovereign funds symbolizes a major shift of the world's economic power. For the first time, investment funds from developing countries are playing with OECD financial giants as equals. Furthermore, their investments into high tech enable them to participate at the cutting-edge of the fourth industrial revolution, challenging traditional innovation powerhouses like the US and Germany. For all stakeholders, from tech unicorns, VC funds, asset managers, financial firms, to policymakers, law firms, academics, and the general public, this is the must-have book to get to know these new venture capitalists and "super asset owners".

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11561

グローバル化、周辺化、紛争 Fuerst-Bjelis, Borna / Leimgruber, Walter (eds.), Globalization, Marginalization and Conflict : Political, Economic and Social Processes. (Perspectives on Geographical Marginality) 202 pp. 2020:10 (Springer, GW) <660-1417 660-L2018>

ISBN 978-3-030-53217-8 hard ¥29,399.- (税込) (※)価格はご注文時の参考価格となります。
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EUR 109.99
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This book looks at marginality from a less conventional perspective by analyzing complex social, cultural, political and economic relations between the aspects of globalization and various forms of marginalization. It focuses specifically on the conflict potential that results from the globalization-driven inequality and marginalization of many segments of societies. This view is further illustrated in sections on border regions, identity issues, minorities and poverty. The book gives a comprehensive but in-depth analysis of the various aspects of the relations between globalization, marginalization and conflict issues, based on a number of case studies and regions worldwide. It shows how the same issues of globalization and marginalization manifest themselves in different ways under different circumstance, obviously requiring different solutions. Based on original research, this book provides new insights on the globalization-marginalization relations and a good resource to academics,scientists and students in various fields of social, political science and humanities.

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11562

グローバルな関税戦争 Das, Ramesh Chandra (ed.), Global Tariff War : Economic, Political and Social Implications. 468 pp. 2021:3 (Emerald, UK) <660-P1353 661-393>

ISBN 978-1-80071-315-4 hard ¥26,004.- (税込) (※)価格はご注文時の参考価格となります。
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US$ 110.99
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Global Tariff War: Economic, Political and Social Implications traces the range of impacts that global tariff wars in international trade can have on the growth and expansion of national economies.
The Global economic and political status quo has faced turmoil after the US President's 2018 announcement on the imposition of import tariff steel and aluminium products. Taking as its core focus the trade war between the USA and China, this book focuses impact on the rest of the world's economies, and explores key areas including neo-protectionism, globalization and restricted trade, inflation volatility, FDI and tariff rates, and the environmental footprint of global trade tariffs.
Having previously played the role of campaigner in favour of free trade since the World War II, today's United States has projected itself towards greater protectionism and patriotism. Conclusions arise that tariff wars, as well as trade wars, are damaging for national and transnational economies, as well as other sectors, such as society and environment. Evidence presented in the work illustrates that developed countries are impacted more adversely in comparison to developing zones due to this type of tariff war.
Offering a range of illuminating perspectives from under explored developing economies being directly affected by these policies, this collection presents a unique critical insight into this complex and evolving area of geo-political and economic practice.
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11563

グローバルな生産ネットワーク入門 Coe, Neil M., Advanced Introduction to Global Production Networks. (Elgar Advanced Introductions) 192 pp. 2021:1 (E. Elgar, UK) <660-354 660-548>

ISBN 978-1-78897-959-7 hard ¥30,412.- (税込) (※)価格はご注文時の参考価格となります。
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GB£ 96.00
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ISBN 978-1-78897-961-0 paper ¥6,636.- (税込) (※)価格はご注文時の参考価格となります。
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GB£ 20.95
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Elgar Advanced Introductions are stimulating and thoughtful introductions to major fields in the social sciences, business and law, expertly written by the world's leading scholars. Designed to be accessible yet rigorous, they offer concise and lucid surveys of the substantive and policy issues associated with discrete subject areas.

This Advanced Introduction provides a comprehensive guide to the vibrant and expanding global production network (GPN) approach. Neil M. Coe deftly explores the antecedents and theoretical underpinnings of GPN analysis, as well as debates and controversies surrounding the approach and its position in wider interdisciplinary discussions. He argues overall that, during a time of profound ongoing challenges within the global economic system, the need for a GPN framework has never been more pressing.

Key features include:

  • an up-to-date assessment of current debates in the literature
  • an integrated perspective on how GPN thinking can aid understanding of capitalist uneven development
  • a wide range of sectoral and geographical examples
  • a thorough discussion of connections to cognate debates in the wider social sciences and business and management studies
  • identification of future research challenges in the field.
In short, Advanced Introduction to Global Production Networks is an ideal introductory book for students at both undergraduate and postgraduate levels in geography, economics and business looking to understand the organization and dynamics of the global economy.

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11564

世界経済 2021年 CEPII, L'economie mondiale 2021. (Repères. Economie) 127 p. 2020 (La Decouverte, FR) <660-L694 660-P1349>

ISBN 978-2-348-06411-1 paper ¥2,673.- (税込) (※)価格はご注文時の参考価格となります。
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EUR 10.00
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11565

政府系ファンド、ローカルコンテント政策、CSR -採掘部門における開発- Pereira, Eduardo G. / Spencer, R. / Moses, J. W. (eds.), Sovereign Wealth Funds, Local Content Policies and CSR : Developments in the Extractives Sector. (CSR, Sustainability, Ethics & Governance) 622 pp. 2021:2 (Springer, GW) <660-573 660-L693>

ISBN 978-3-030-56091-1 hard ¥40,091.- (税込) (※)価格はご注文時の参考価格となります。
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EUR 149.99
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This book explores three particular strategies in the extractives sector for creating shared wealth, increased labour opportunities and positive social, environmental and economic outcomes from corporate projects, namely: state wealth funds (SWF), local content policies (LCP) and corporate social responsibility (CSR) practices. Collectively, the chapters explore the associated experiences and challenges in different parts of the world with the view to inform equitable and sustainable development for the communities living adjacent to extractives sites and the wider society and environment. Examples of LCPs, SWFs and CSR practices from 12 jurisdictions with diverse experiences offer usefull insights. The book illuminates challenges and opportunities for sustainable development outcomes of the extractives sector. It reflects the need to take on board the lessons of these global experiences in order to improve outcomes for poverty reduction, inequality reduction and sustainable development.

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11566

金融危機の解剖 Fligstein, Neil, The Banks Did It : An Anatomy of the Financial Crisis. 336 pp. 2021:6 (Harvard U. Pr., US) <660-P1344 661-364>

ISBN 978-0-674-24935-6 hard ¥9,840.- (税込) (※)価格はご注文時の参考価格となります。
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US$ 42.00
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A comprehensive account of the rise and fall of the mortgage-securitization industry, which explains the complex roots of the 2008 financial crisis.

More than a decade after the 2008 financial crisis plunged the world economy into recession, we still lack an adequate explanation for why it happened. Existing accounts identify a number of culprits-financial instruments, traders, regulators, capital flows-yet fail to grasp how the various puzzle pieces came together. The key, Neil Fligstein argues, is the convergence of major US banks on an identical business model: extracting money from the securitization of mortgages. But how, and why, did this convergence come about?

The Banks Did It carefully takes the reader through the development of a banking industry dependent on mortgage securitization. Fligstein documents how banks, with help from the government, created the market for mortgage securities. The largest banks-Countrywide Financial, Bear Stearns, Citibank, and Washington Mutual-soon came to participate in every aspect of this market. Each firm originated mortgages, issued mortgage-backed securities, sold those securities, and, in many cases, acted as their own best customers by purchasing the same securities. Entirely reliant on the throughput of mortgages, these firms were unable to alter course even when it became clear that the market had turned on them in the mid-2000s.

With the structural features of the banking industry in view, the rest of the story falls into place. Fligstein explains how the crisis was produced, where it spread, why regulators missed the warning signs, and how banks' dependence on mortgage securitization resulted in predatory lending and securities fraud. An illuminating account of the transformation of the American financial system, The Banks Did It offers important lessons for anyone with a stake in avoiding the next crisis.

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11567

D.ライスマン著 プラトンの経済学 Reisman, David, Plato's Economics : Republic and Control. 224 pp. 2021:1 (E. Elgar, UK) <660-200 660-46>

ISBN 978-1-83910-332-2 hard ¥31,363.- (税込) (※)価格はご注文時の参考価格となります。
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GB£ 99.00
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Plato was the first of the great thinkers to integrate the economy into a wide-ranging synthesis of ethical absolutes and human interaction. In this original and stimulating book, David Reisman assesses his influential contribution to the political economy of production, consumption, distribution and exchange.

Drawing on the whole of Plato's published work, this book explores Plato's insights into the core philosophical concerns of stability, hegemony, justice and balance. It situates Plato's economics in the context of fourth century Athens. It argues that the transition from oligarchy to democracy in the wake of the disastrous war with Sparta had reinforced the attraction of justice, moderation and the middle way to a political philosopher who wanted to reverse the decay in popular standards of right and wrong.

Analytical but accessible, this book is crucial reading for students and scholars of economic and social thought. Researchers and practitioners interested in social and public policy will also benefit from this book's comprehensive and interdisciplinary approach.

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11568

Zhang, Nan, Flow of Funds Analysis : Innovation and Development. 415 pp. 2020:9 (Springer, GW) <660-L691 660-P1339>

ISBN 978-981-15-7719-2 hard ¥40,091.- (税込) (※)価格はご注文時の参考価格となります。
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EUR 149.99
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This book discusses the theory, methods, and applications of flow of funds analysis. The book integrates the basic principles of economic statistics, financial accounts, international finance, econometric models, and financial network analysis, providing a systematic and comprehensive introduction to the interconnection between these research fields. It thus provides the reader with the intellectual groundwork indispensable for understanding the workings and interactions of today's globalized financial markets. The main focus of the book is how to observe the flow of funds in macroeconomics, how to measure the global flow of funds (GFF), and how to use GFF data to carry out an analysis. Based on the statistical framework for measuring GFF under the System of National Accounts, the book identifies the systematic relationship of financial linkages among economic sectors and with the rest of the world while integrating data sources that include stock data, geographically broken down by country-region, and selected financial instruments. It sets out the GFF concept and constructs a GFF matrix (metadata) on a from-whom-to-whom basis within a country-by-country pattern. Lastly, an established GFF matrix table is used to conduct an empirical study including an econometric model and financial network analysis.
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11569

デリバティブ -取引、評価、リスク管理の理論と実践- Witzany, Jirí, Derivatives : Theory and Practice of Trading, Valuation, and Risk Management. (Springer Texts in Business and Economics) 376 pp. 2020:11 (Springer, GW) * paper 2020 <660-348 660-P1338>

ISBN 978-3-030-51750-2 hard ¥34,745.- (税込) (※)価格はご注文時の参考価格となります。
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EUR 129.99
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ISBN 978-3-030-51753-3 paper ¥24,053.- (税込) (※)価格はご注文時の参考価格となります。
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EUR 89.99
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This book helps students, researchers and quantitative finance practitioners to understand both basic and advanced topics in the valuation and modeling of financial and commodity derivatives, their institutional framework and risk management. It provides an overview of the new regulatory requirements such as Basel III, the Fundamental Review of the Trading Book (FRTB), Interest Rate Risk of the Banking Book (IRRBB), or the Internal Capital Assessment Process (ICAAP). The reader will also find a detailed treatment of counterparty credit risk, stochastic volatility estimation methods such as MCMC and Particle Filters, and the concepts of model-free volatility, VIX index definition and the related volatility trading. The book can also be used as a teaching material for university derivatives and financial engineering courses.
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11570

Wendt, Karen (ed.), Theories of Change : Change Leadership Tools, Models and Applications for Investing in Sustainable Development. (Sustainable Finance) 230 pp. 2020:10 (Springer, GW) * paper 2021 <660-L1115 660-L690>

ISBN 978-3-030-52274-2 hard ¥22,717.- (税込) (※)価格はご注文時の参考価格となります。
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EUR 84.99
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ISBN 978-3-030-52277-3 paper ¥13,361.- (税込) (※)価格はご注文時の参考価格となります。
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EUR 49.99
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Today, it has become strikingly obvious that companies no longer operate in an environment where only risk return and volatility describe the business environment. The business has to deal with volatility plus uncertainty, plus complexity and ambiguity (VUCA): that requires new qualities, competencies, frameworks; and it demands a new mind set to deal with the VUCA environment in investment, funding and financing. This book builds on a new megatrend beyond resilience, called anti-fragility. We have had the black swan (financial crisis) and the red swan (COVID) - the Bank for International Settlement is preparing for regenerative capitalism, block chain based analysis of financial streams and is aiming to prevent the “Green Swan” ? the climate crisis to lead to the next lockdown. In the light of the UN 17 Sustainable Development Goals, what is required, is Theories of Change. Written by experts working in the fields of sustainable finance, impact investing, development finance, carbon divesting, innovation, scaling finance, impact entrepreneurship, social stock exchanges, alternative currencies, Initial Coin Offerings (ICOs), ledger technologies, civil action, co-creation, impact management, deep learning and transformation leadership, the book begins by analysing existing Theories of Change frameworks from various disciplines and creating a new integrated model ? the meta-framework. In turn, it presents insights on creating and using Theories of Change to redirect investment capital to sustainable companies while implementing the Sustainable Development Goals and the Paris Climate Agreement. Further, it discusses the perspective of planetary boundaries as defined by the Stockholm Resilience Institute, and investigates various aspects of systems, organizations, entrepreneurship, investment and finance that are closely tied to the mission ingrained in the Theory of Change. As it demonstrates, solutions that ensure the parity of profit, people and planet through dynamic change can effectively address the needs of entrepreneurs and business. By exploring these concepts and their application, the book helps create and shape new markets and opportunities.
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11571

Volberding, Peter, Leveraging Financial Markets for Development : How KfW Revolutionized Development Finance. (Executive Politics and Governance) 285 pp. 2020:9 (Palgrave Macmillan, UK) <660-L688 660-P1335>

ISBN 978-3-030-55007-3 hard ¥13,361.- (税込) (※)価格はご注文時の参考価格となります。
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EUR 49.99
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This book investigates how development institutions created and promoted marketized development financial instruments to increase the speed and scope of assistance by leveraging private financial markets for development objectives. To attract private investors, donor governments agreed to bear the risk in these new instruments in order to mobilize investment during times of political crisis. In particular, this book contends that Germany's KfW played an outsized role in the development of these new financial instruments, particularly in microfinance banks and structured funds, as KfW's unique institutional attributes and strong political support from the German government at critical junctures fostered financial innovation. Using over 70 interviews and a cache of newly released archival materials, this books documents how KfW and other development institutions created and promoted these marketized development financial instruments, and how they have become a pillar of modern development policy.

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11572

金融教育とリスク・リテラシー Viale, Riccardo / Filotto, U. / Alemanni, B. et al. (eds.), Financial Education and Risk Literacy. (Behavioural Financial Regulation and Policy (Befairly) Series) 328 pp. 2021:1 (E. Elgar, UK) <660-347 660-P1334>

ISBN 978-1-78990-884-8 hard ¥38,966.- (税込) (※)価格はご注文時の参考価格となります。
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GB£ 123.00
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This innovative book explores how the design of financial education programmes could benefit from the findings of behavioural economics and finance and cognitive sciences. It covers the social, cultural and technological determinants of financial education, the role of the banking system in promoting financial literacy, and how governments and regulatory authorities are dealing with financial education and risk literacy programmes in schools.

Featuring contributions from authors with diverse methodological and ideological backgrounds, Financial Education and Risk Literacy offers a rich and multifaceted debate. Chapters explore theory and empirical evidence, utilising investigations of programmes deployed and the outcomes of experiments. This book also complements the emerging literature by studying how individuals perceive and process information when making financial decisions.

Economics students and scholars, in particular those studying behavioural economics, will appreciate the forward-looking agenda of this book. Its insights into how policymakers can benefit from a behavioural approach will also help regulators in the financial education sector.

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11573

H.-W.Sinn著 ターゲット・バランスの経済学 Sinn, Hans-Werner, The Economics of Target Balances : From Lehman to Corona. 146 pp. 2020:10 (Palgrave Macmillan, UK) <660-351 660-L684>

ISBN 978-3-030-50169-3 paper ¥8,015.- (税込) (※)価格はご注文時の参考価格となります。
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EUR 29.99
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Target balances are the largest single item in some of the balance sheets of the Eurosystem's national central banks (NCBs), and yet very little is known about them by the general public and even by economists. This book shows that Target balances measure overdraft credits between the NCBs that resemble ordinary fiscal credit and which have grown disproportionately, exceeding one billion euros. There is, however, no parliamentary legitimation for the Target balances. The book sheds light on the economic significance of the balances, questions their limitlessness, and addresses controversial views that have been expressed regarding them. It uses the Target statistics to analyze the course of the euro crisis and the ECB's policy reactions from the time of the Lehman bankruptcy up to the outbreak of the Corona crisis. It analyses the credit risks involved for the Eurosystem and concludes with a reform proposal.

This book will be of interest to non-specialist economists and policy makers.


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11574

Schwartz, Robert A. / Byrne, J. A. / Stempel, E. (eds.), Equity Trading Round-Up : Proposals for Strengthening the Markets. (Zicklin School of Business Financial Markets Series) xvi, 184 pp. 2020:10 (Springer, GW) <660-L683 660-P1328>

ISBN 978-3-030-51014-5 hard ¥26,726.- (税込) (※)価格はご注文時の参考価格となります。
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EUR 99.99
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This book examines the complexity of trading and the creation of liquidity. Titled after the Baruch College Financial Markets Conference, Equity Market Round-Up: Proposals for Strengthening the Markets, this book explores how regulation has a clear impact on market structure and, therefore, how market structure impacts efficient trading and capital formation. The following questions are analyzed: What are the liquidity strategies for pricing and interacting? Is liquidity any more available today for an illiquid stock than it was on the floor of the exchange 20 years ago? How do we cope with the dynamics of a continuous market? How can market structure be improved? What are the effects of high frequency trading? The Zicklin School of Business Financial Markets Series presents the insights emerging from a sequence of conferences hosted by the Zicklin School at Baruch College for industry professionals, regulators, and scholars. The transcripts from the conferences are edited for clarity, perspective and context; material and comments from subsequent interviews with the panellists and speakers are included for a complete thematic presentation. Each book is focused on a well delineated topic, but all deliver broad insights into the quality and efficiency of the U.S. equity markets and the dynamic forces that are changing them.
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11575

米国の貿易政策における企業対国益 -チキータとカリブ海地域のバナナ- Bernal, Richard L., Corporate versus National Interest in US Trade Policy : Chiquita and Caribbean Bananas. 283 pp. 2020:11 (Palgrave Macmillan, UK) <660-359 660-P1367>

ISBN 978-3-030-56949-5 hard ¥29,399.- (税込) (※)価格はご注文時の参考価格となります。
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EUR 109.99
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This book provides a history of the WTO US-EU banana dispute through the lens of a major actor: the US-owned multinational firm, Chiquita Brands International. It documents and explains how Chiquita succeeded in having the Clinton administration pursue a trade policy of forcing the European Union to dismantle its preferential banana import regime for exports from the small English-speaking Caribbean (ESC) countries. The export of bananas was critically important to the social stability and economic viability of these countries and that was in the national security interest of the United States. The experience indicates that succeeding in this goal was detrimental to U.S. national security interest in the Caribbean.
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11576

水のために戦う Bieler, Andreas, Fighting for Water : Commodification, Commoning and Mobilisation. 224 pp. 2021:6 (Zed Books, UK) <660-P1387 661-414>

ISBN 978-1-78699-325-0 hard ¥28,512.- (税込) (※)価格はご注文時の参考価格となります。
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GB£ 90.00
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ISBN 978-1-78699-508-7 paper ¥8,550.- (税込) (※)価格はご注文時の参考価格となります。
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GB£ 26.99
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In the wake of the global financial crisis, water services have come under renewed neoliberal assault across Europe. At the same time, the struggle against water privatization has continued to pick up pace; from the re-municipalization of water in Grenoble in 2000, to the United Nations declaration of water as a human right in 2010.

In Fighting for Water, Andreas Bieler draws on years of extensive fieldwork to dissect the underlying dynamics of the struggle for public water in Europe. By analysing the successful referendum against water privatization in Italy, the European Citizens' Initiative on 'Water and Sanitation are a Human Right', the struggles against water privatization in Greece and water charges in Ireland, Bieler shows why water has been a fruitful arena for resistance against neoliberal restructuring.

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11577

R.C.Michie著  1970年代以降のグローバルな金融市場 Michie, Ranald C., Banks, Exchanges, and Regulators : Global Financial Markets from the 1970s. 768 pp. 2020:11 (Oxford U. Pr., UK) <660-478 660-L692>

ISBN 978-0-19-955373-0 hard ¥51,480.- (税込) (※)価格はご注文時の参考価格となります。
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GB£ 162.50
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Never have financial markets been subjected to a period of change as rapid and extensive as took place from the 1970s onwards. In the 1970s global financial markets were controlled by governments, compartmentalized along national boundaries, and segregated according to the particular activities they engaged in. This all disintegrated in the decades that followed under the pressure of market forces, global integration, and a revolution in the technology of trading. One product of this transformation was the Global Financial Crisis of 2008, which exposed the fragility of the new structures created and cast a long shadow that we still live in today. The response to that crisis has shaped the global financial system, which has been tested once again by the coronavirus pandemic. However, none of the outcomes of this transformation were inevitable, despite the forces at work. They were the product of decisions taken at the time for a multitude of reasons. Banks, exchanges, and regulators were faced with unprecedented challenges and opportunities as a revolution swept away traditional ways of conducting banking, the methods used to trade in financial markets, and the rules and regulations employed to enforce discipline. In this book Ranald C. Michie provides an authoritative and unrivalled account of this upheaval based on a careful and exhaustive reading of the Financial Times over the last four decades, using it to provide a source of material unmatched by any other in terms of depth and coverage. By studying what happened and why in real time, it is possible to explain the decisions taken that shaped the course of the transformation and its repercussions.
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11578

グローバル経済における構造変化の原因と帰結 Alcorta, Ludovico / Foster-McGregor, Neil et al. (eds.), New Perspectives on Structural Change : Causes and Consequences of Structural Change in the Global Economy. 752 pp. 2021:2 (Oxford U. Pr., UK) <660-353 660-P1350>

ISBN 978-0-19-885011-3 hard ¥49,104.- (税込) (※)価格はご注文時の参考価格となります。
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GB£ 155.00
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New Perspectives on Structural Change is a comprehensive edited volume that outlines both the historical roots and state-of-the-art debates on the role of structural change in the process of economic development, including both orthodox and heterodox perspectives and contributions from prominent scholars in this field. The volume consists of four main sections. The first section covers the theoretical foundations of the structural change literature. The second section presents an empirical overview of the major trends of structural change, using up-to-date data sources and methods. The third section presents a broad ranging empirical analysis of the drivers of structural change. The fourth section examines how processes such as inclusive growth, poverty reduction, productive employment, the global income distribution, and environmental sustainability are affected by structural change, and how they can be influenced by policy.
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11579

Miziolek, Tomasz / Feder-Sempach, Ewa / Zaremba, Adam, International Equity Exchange-Traded Funds : Navigating Global ETF Market Opportunities and Risks. 378 pp. 2020:9 (Palgrave Macmillan, UK) <660-L672 660-P1315>

ISBN 978-3-030-53863-7 hard ¥22,717.- (税込) (※)価格はご注文時の参考価格となります。
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EUR 84.99
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This book presents the economic foundation of international equity investments providing a practical guide to invest in international equity exchange-traded funds (ETFs). It shows how to gain exposure to foreign stock markets through both theoretical foundations of international diversification and in-depth characteristics of global, regional, country-specific, and international sector/thematic ETFs.

Unlike other books in the field which broadly discuss different aspects of the ETF market, this book explores one specific market segment, offering the first in-depth and state-of-the-art analysis of international equity ETFs and including, in particular, ETFs with global, regional, single-country, and international sector/thematic exposures. The number and variety of such financial instruments are constantly growing. Hence, it seems obvious that there is an urgent need for a book that will help investors who are willing to diversify their portfolios outside the domestic market-in both developed and emerging/frontier markets.

International Equity Exchange-Traded Funds presents a comprehensive review of investment possibilities offered by international ETFs for stock market investors.

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11580

Migliorelli, Marco / Dessertine, Philippe (eds.), Sustainability and Financial Risks : The Impact of Climate Change, Environmental Degradation and Social Inequality on Financial Markets. (Palgrave Studies in Impact Finance) 143 pp. 2020:9 (Palgrave Macmillan, UK) <660-L671 660-P1314>

ISBN 978-3-030-54529-1 hard ¥17,371.- (税込) (※)価格はご注文時の参考価格となります。
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EUR 64.99
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Despite growing discussions on the relationship between sustainability and finance, so far little attention has been given to the relation linking sustainability-related risks and financial risks. Climate change, environmental degradation and social inequality, among others factors, may indeed have considerable adverse impacts on financial actors and markets, and even have the potential to harm financial stability. Shedding light on the importance of the nexus between sustainability and financial risks, this book addresses the need for new industry and policy approaches. With insights from a skilled set of scholars in the finance field, this edited collection explores the effects of climate risks on the banking and insurance industries, the problem of stranded assets, the possible corporate risk management frameworks that could be used to control sustainability-related risks, the role of non-financial disclosure in fostering market discipline, and the policy actions needed to integrate sustainability considerations into prudential supervision. Tackling an interdisciplinary topic, this book will appeal to academics and practitioners within the finance, business and sustainability fields.

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