An intelligent analysis of the dangers, opportunities, and
consequences of global sovereign debt
Sovereign debt is growing internationally at a terrifying rate,
as nations seek to prop up their collapsing economies. One only
needs to look at the sovereign risk pressures faced by Greece,
Spain, and Ireland to get an idea of how big this problem has
become. Understanding this dilemma is now more important than ever,
that’s why Robert Kolb has compiled Sovereign Debt. With
this book as your guide, you’ll gain a better perspective on the
essential issues surrounding sovereign debt and default through
discussions of national defaults, systemic risk, associated costs,
and much more. Historical studies are also included to provide a
realistic framework of reference.
* Contains up-to-date research and analysis on sovereign debt
from today’s leading practitioners and academics
* Details the dangers of defaults and their associated systemic
risks
* Explores the past, present, and future of sovereign debt
The repercussions of a national default are all-encompassing as
global markets are intricately interwoven in the modern world.
Sovereign Debt examines what it will take to overcome the
challenges of this market and how you can deal with the uncertainty
surrounding it.
关于作者
Robert W. Kolb (Chicago, IL) is the Frank W. Considine Chair of Applied Ethics and Professor of Finance at Loyola University, Chicago. Prior, he was the Assistant Dean, Business and Society, and Director, Center for Business and Society, at the University of Colorado at Boulder, Department Chairman at University of Miami, and he also taught at Emory University and University of Florida. Professor Kolb is the author of over 20 books on finance, derivatives, and futures, and has authored numerous articles in leading finance journals such as Financial Review, Journal of Futures Markets, Journal of Financial Engineering, Journal of Financial Economics, and Journal of Portfolio Management, among many others.