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Economic and Financial Crises in Emerging Market Economies (National Bureau of Economic Research Conference Report)
 
 
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Economic and Financial Crises in Emerging Market Economies (National Bureau of Economic Research Conference Report) [Hardcover]

Martin Feldstein (Editor)

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Book Description

0226241092 978-0226241098 February 1, 2003 1
In the late 1990s, economic and financial crises raged through East Asia, devastating economies that had previously been considered among the strongest in the developing world. The crises eventually spread to Russia, Turkey, and Latin America, and impacted the economies of many industrialized nations as well. In today's increasingly interdependent world, finding ways to reduce the risk of future crises—and to improve the management of crises when they occur—has become an international policy challenge of paramount importance.

This book rises to that challenge, presenting accessible papers and commentaries on the topic not only from leading academic economists, but also from high-ranking government officials (in both industrial and developing nations), senior policymakers at international institutions, and major financial investors. Six non-technical papers, each written by a specialist in the topic, provide essential economic background, introducing sections on exchange rate regimes, financial policies, industrial country policies, IMF stabilization policies, IMF structural programs, and creditor relations. Next, personal statements from the major players give firsthand accounts of what really went on behind the scenes during the crises, giving us a rare glimpse into how international economic policy decisions are actually made. Finally, wide-ranging discussions and debates sparked by these papers and statements are summarized at the end of each section.

The result is an indispensable overview of the key issues at work in these crises, written by the people who move markets and reshape economies, and accessible to not just economists and policymakers, but also to educated general readers.

Contributors:
Montek S. Ahluwalia, Domingo F. Cavallo, William R. Cline, Andrew Crockett, Michael P. Dooley, Sebastian Edwards, Stanley Fischer, Arminio Fraga, Jeffrey Frankel, Jacob Frenkel, Timothy F. Geithner, Morris Goldstein, Paul Keating, Mervyn King, Anne O. Krueger, Roberto Mendoza, Frederic S. Mishkin, Guillermo Ortiz, Yung Chul Park, Nouriel Roubini, Robert Rubin, Jeffrey Sachs, Ammar Siamwalla, George Soros

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Editorial Reviews

From the Inside Flap

In the late 1990s, economic and financial crises raged through East Asia, devastating economies that had previously been considered among the strongest in the developing world. The crises eventually spread to Russia, Turkey, and Latin America, and impacted the economies of many industrialized nations as well. In today's increasingly interdependent world, finding ways to reduce the risk of future crises—and to improve the management of crises when they occur—has become an international policy challenge of paramount importance.

This book rises to that challenge, presenting accessible papers and commentaries on the topic not only from leading academic economists, but also from high-ranking government officials (in both industrial and developing nations), senior policymakers at international institutions, and major financial investors. Six non-technical papers, each written by a specialist in the topic, provide essential economic background, introducing sections on exchange rate regimes, financial policies, industrial country policies, IMF stabilization policies, IMF structural programs, and creditor relations. Next, personal statements from the major players give firsthand accounts of what really went on behind the scenes during the crises, giving us a rare glimpse into how international economic policy decisions are actually made. Finally, wide-ranging discussions and debates sparked by these papers and statements are summarized at the end of each section.

The result is an indispensable overview of the key issues at work in these crises, written by the people who move markets and reshape economies, and accessible to not just economists and policymakers, but also to educated general readers.

Contributors:
Montek S. Ahluwalia, Domingo F. Cavallo, William R. Cline, Andrew Crockett, Michael P. Dooley, Sebastian Edwards, Stanley Fischer, Arminio Fraga, Jeffrey Frankel, Jacob Frenkel, Timothy F. Geithner, Morris Goldstein, Paul Keating, Mervyn King, Anne O. Krueger, Roberto Mendoza, Frederic S. Mishkin, Guillermo Ortiz, Yung Chul Park, Nouriel Roubini, Robert Rubin, Jeffrey Sachs, Ammar Siamwalla, George Soros

About the Author

Martin Feldstein is the George F. Baker Professor of Economics at Harvard University, the president and CEO of the National Bureau of Economic Research, and former chairman of the President's Council of Economic Advisers. He is the editor of, among many other books, American Economic Policy in the 1980s and International Capital Flows.

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Inside This Book (learn more)
First Sentence:
The emerging markets' financial crises of the 1990s had remarkable similarities. Read the first page
Key Phrases - Statistically Improbable Phrases (SIPs): (learn more)
structural policy conditions, big money packages, large official packages, pure liquidity cases, structural policy commitments, official support packages, fair market value accounting, rescheduling clauses, nonfinancial balance sheets, full bailout, structural policy areas, nonprogram countries, concerted rollover, moral hazard distortions, structural benchmarks, market soundings, emerging markets lending, structural conditionality, systemically important countries, major emerging market economies, policy conditionality, structural performance criteria, conditionality guidelines, many emerging market countries, resolving financial crises
Key Phrases - Capitalized Phrases (CAPs): (learn more)
United States, World Bank, International Monetary Fund, Federal Reserve, Working Paper, International Economics, Latin America, New York, National Bureau of Economic Research, Paris Club, Goldman Sachs, London Club, Foreign Relations, Institute of International Finance, Bretton Woods, New Zealand, Stanley Fischer, American Economic Review, International Financial Institution Advisory Commission, Martin Feldstein, Brookings Institution, Discussion Summary, Jeffrey Sachs, Sebastian Edwards, Hong Kong
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