000 01904cam a2200349Ki 4500
999 _c12411
_d12411
001 1030622790
005 20210816111941.0
008 180406t20182018enkab b 001 0 eng c
020 _a9781292238739
020 _a1292238739
035 _a(OCoLC)1030622790
_z(OCoLC)1007928857
040 _aFUE
_beng
_erda
_cEUE
_dOCLCF
_dYDX
_dERD
_dAUD
_dSISMU
082 _223
_a332.042
_bK.P.I
092 _bK94I
100 1 _aKrugman, Paul R.,
_eauthor
245 1 0 _aInternational finance :
_btheory & policy /
_cPaul R. Krugman, Maurice Obstfeld, Marc J. Melitz
250 _aEleventh edition, global edition
264 1 _aHarlow :
_bPearson Education Limited,
_c[2018]
264 4 _c©2018
300 _a465 pages :
_billustrations, maps ;
_c26 cm
336 _2rdacontent
_atext
337 _2rdamedia
_aunmediated
338 _2rdacarrier
_avolume
504 _aIncludes bibliographical references and index
505 0 _a1. Introduction PART 1: EXCHANGE RATES AND OPEN-ECONOMY MACROECONOMICS 2. National Income Accounting and the Balance of Payments 3. Exchange Rates and the Foreign Exchange Market: An Asset Approach 4. Money, Interest Rates, and Exchange Rates 5. Price Levels and the Exchange Rate in the Long Run 6. Output and the Exchange Rate in the Short Run 7. Fixed Exchange Rates and Foreign Exchange Intervention PART 2: INTERNATIONAL MACROECONOMIC POLICY 8. International Monetary Systems: An Historical Overview 9. Financial Globalization: Opportunity and Crisis 10. Optimum Currency Areas and the Euro 11. Developing Countries: Growth, Crisis, and Reform MATHEMATICAL POSTSCRIPTS Postscript to Chapter 9: Risk Aversion and International Portfolio Diversification
650 0 _aInternational finance
700 1 _aObstfeld, Maurice,
_eauthor
700 1 _aMelitz, Marc J.,
_eauthor
740 0 _aInternational finance : theory and policy
942 _2ddc
_cBK