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Hedge Fonds, Banken Und Finanzkrisen
Paperback

Hedge Fonds, Banken Und Finanzkrisen

$178.99
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This title is printed to order. This book may have been self-published. If so, we cannot guarantee the quality of the content. In the main most books will have gone through the editing process however some may not. We therefore suggest that you be aware of this before ordering this book. If in doubt check either the author or publisher’s details as we are unable to accept any returns unless they are faulty. Please contact us if you have any questions.

Marcel V. Lahn analysiert, wie sich der drohende Zusammenbruch eines einzelnen Hedge Fonds zu einer Krise des globalen Finanzsystems entwickeln kann, und zeigt auf, dass von Hedge Fonds permanent eine generelle Gefahrdung fur die Stabilitat des Weltfinanzsystems ausgeht, eine direkte Regulierung der Hedge-Fonds-Industrie aber zugunsten einer indirekten Einflussnahme durch Aufsichts- und Regulierungsmassnahmen global aktiver Finanzintermediare und einer Erhohung von deren Risikoubernahmetransparenz abzulehnen ist.

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MORE INFO
Format
Paperback
Publisher
Deutscher Universitats-Verlag
Country
Germany
Date
29 July 2004
Pages
401
ISBN
9783824481170

This title is printed to order. This book may have been self-published. If so, we cannot guarantee the quality of the content. In the main most books will have gone through the editing process however some may not. We therefore suggest that you be aware of this before ordering this book. If in doubt check either the author or publisher’s details as we are unable to accept any returns unless they are faulty. Please contact us if you have any questions.

Marcel V. Lahn analysiert, wie sich der drohende Zusammenbruch eines einzelnen Hedge Fonds zu einer Krise des globalen Finanzsystems entwickeln kann, und zeigt auf, dass von Hedge Fonds permanent eine generelle Gefahrdung fur die Stabilitat des Weltfinanzsystems ausgeht, eine direkte Regulierung der Hedge-Fonds-Industrie aber zugunsten einer indirekten Einflussnahme durch Aufsichts- und Regulierungsmassnahmen global aktiver Finanzintermediare und einer Erhohung von deren Risikoubernahmetransparenz abzulehnen ist.

Read More
Format
Paperback
Publisher
Deutscher Universitats-Verlag
Country
Germany
Date
29 July 2004
Pages
401
ISBN
9783824481170