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Political Economy of Government Debt
Political Economy of Government Debt
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This analysis of the political economy of government debt is divided into two parts. The first part deals with theoretical issues. Topics covered include: behavioural aspects; long term debt strategy; the political economy of redistribution; a model of intergenerational redistribution; the relationship between social security and the deficit in the US; the consequences of endogenous technology; and budgetary and monetary issues related to European integration. The second part of the volume conc…
  • Leidėjas:
  • ISBN-10: 0444890521
  • ISBN-13: 9780444890528
  • Formatas: 15.6 x 23.4 x 2.1 cm, kieti viršeliai
  • Kalba: Anglų

Political Economy of Government Debt (el. knyga) (skaityta knyga) | knygos.lt

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This analysis of the political economy of government debt is divided into two parts. The first part deals with theoretical issues. Topics covered include: behavioural aspects; long term debt strategy; the political economy of redistribution; a model of intergenerational redistribution; the relationship between social security and the deficit in the US; the consequences of endogenous technology; and budgetary and monetary issues related to European integration. The second part of the volume concerns empirical applications, including the empirical relevance of the notion of debt neutrality; the management of the nominal government debt; the global linkages between interest rates and public debt; functional finance; some positive theories of government debt; and suggestions for fiscal indicators.

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  • Leidėjas:
  • ISBN-10: 0444890521
  • ISBN-13: 9780444890528
  • Formatas: 15.6 x 23.4 x 2.1 cm, kieti viršeliai
  • Kalba: Anglų

This analysis of the political economy of government debt is divided into two parts. The first part deals with theoretical issues. Topics covered include: behavioural aspects; long term debt strategy; the political economy of redistribution; a model of intergenerational redistribution; the relationship between social security and the deficit in the US; the consequences of endogenous technology; and budgetary and monetary issues related to European integration. The second part of the volume concerns empirical applications, including the empirical relevance of the notion of debt neutrality; the management of the nominal government debt; the global linkages between interest rates and public debt; functional finance; some positive theories of government debt; and suggestions for fiscal indicators.

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