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Global Financial Crisis and Its Ramifications on Capital Markets

Opportunities and Threats in Volatile Economic Conditions

  • Ümit Hacioğlu
  • Hasan Dinçer

Part of the Contributions to Economics book series (CE)

Table of contents

  1. Front Matter
    Pages i-xix
  2. 2008–2009 Financial Crisis, International Financial Institutions and Regulation

  3. Assessment of Financial Stability in Emerging Markets and Business Cycles

  4. Market Anomalies and Price Fluctuations in Capital Markets During Crisis

    1. Front Matter
      Pages 321-321
    2. Gonca Atici, Guner Gursoy
      Pages 337-345
    3. Kehinde A. Adetiloye, Joseph N. Taiwo, Moses M. Duruji
      Pages 371-386
    4. Mustafa Kaya, Özgür Arslan-Ayaydin, Mehmet Baha Karan
      Pages 417-430
    5. Tolga Ulusoy
      Pages 459-474
    6. László Nagy, Mihály Ormos, Dusán Timotity
      Pages 519-535
  5. Impact of Crisis, Economic Recovery and Sectoral Developments

About this book

Introduction

This book assesses the 2008-2009 financial crisis and its ramifications for the global economy from a multidisciplinary perspective. Current market conditions and systemic issues pose a risk to financial stability and sustained market access for emerging market borrowers. The volatile environment in the financial system became the source of major threats and some opportunities such as takeovers, mergers and acquisitions for international business operations. This volume is divided into six sections. The first evaluates the 2008–2009 Global Financial Crisis and its impacts on Global Economic Activity, examining the financial crisis in historical context, the economic slowdown, transmission of the crisis from advanced economies to emerging markets, and spillovers. The second section evaluates global imbalances, especially financial instability and the economic outlook for selected regional economies, while the third focuses on international financial institutions and fiscal policy applications. The fourth section analyzes the capital market mechanism, price fluctuations and global trade activity, while the fifth builds on new trends and business cycles to derive effective strategies and solutions for international entrepreneurship and business. In closing, the final section explores the road to economic recovery and stability by assessing the current outlook and fiscal strategies.


Keywords

Financial Crisis Economic Crisis Volatility Financial Recovery Global Imbalances

Editors and affiliations

  • Ümit Hacioğlu
    • 1
  • Hasan Dinçer
    • 2
  1. 1.Istanbul Medipol UniversityIstanbulTurkey
  2. 2.Istanbul Medipol UniversityIstanbulTurkey

Bibliographic information

  • DOI https://doi.org/10.1007/978-3-319-47021-4
  • Copyright Information Springer International Publishing AG 2017
  • Publisher Name Springer, Cham
  • eBook Packages Economics and Finance
  • Print ISBN 978-3-319-47020-7
  • Online ISBN 978-3-319-47021-4
  • Series Print ISSN 1431-1933
  • Series Online ISSN 2197-7178
  • Buy this book on publisher's site