On the Manipulation of Money and Credit

On the Manipulation of Money and Credit
Author: Ludwig Von Mises
Publisher: Dobbs Ferry, N.Y. : Free Market Books
Total Pages: 360
Release: 1978
Genre: Business & Economics
ISBN:


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"Contributions of Ludwig von Mises in the fields of money, credit, and banking, compiled by Bettina Bien Greaves": pages 281-288. Includes bibliographical references and indexes. Stabilization of the monetary unit-from the viewpoint of theory.--Monetary stabilization and cyclical policy.--The causes of the economic crisis.--Two postscripts: The Current status of business cycle research and its prospects for the immediate future. The trade cycle and credit expansion.

The Theory of Money and Credit

The Theory of Money and Credit
Author: Ludwig Von Mises
Publisher: Ludwig von Mises Institute
Total Pages: 507
Release: 1953
Genre: Credit
ISBN: 1610163222


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Ludwig Von Mises, On the Manipulation of Money and Credit

Ludwig Von Mises, On the Manipulation of Money and Credit
Author: Peter J. Boettke
Publisher:
Total Pages: 4
Release: 2013
Genre:
ISBN:


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During the interwar years in the first half of the twentieth century, Ludwig von Mises emerged as one of the leading economic thinkers in Continental Europe. Though a general economic theorist, Mises's main contributions early in his career were in the field of monetary theory, monetary policy, and the business cycle. Prior to World War I, Mises had already published his treatise in the field, The Theory of Money and Credit (1912), which sought to integrate the teachings from value and price theory into monetary theory. In doing so, Mises built on the work of Swedish economist Knut Wicksell to construct a price theoretic explanation of the disturbances within an economic system that can result from the manipulation of money and credit.

Between Debt and the Devil

Between Debt and the Devil
Author: Adair Turner
Publisher: Princeton University Press
Total Pages: 330
Release: 2017-08-02
Genre: Business & Economics
ISBN: 0691175985


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Why our addiction to debt caused the global financial crisis and is the root of our financial woes Adair Turner became chairman of Britain's Financial Services Authority just as the global financial crisis struck in 2008, and he played a leading role in redesigning global financial regulation. In this eye-opening book, he sets the record straight about what really caused the crisis. It didn’t happen because banks are too big to fail—our addiction to private debt is to blame. Between Debt and the Devil challenges the belief that we need credit growth to fuel economic growth, and that rising debt is okay as long as inflation remains low. In fact, most credit is not needed for economic growth—but it drives real estate booms and busts and leads to financial crisis and depression. Turner explains why public policy needs to manage the growth and allocation of credit creation, and why debt needs to be taxed as a form of economic pollution. Banks need far more capital, real estate lending must be restricted, and we need to tackle inequality and mitigate the relentless rise of real estate prices. Turner also debunks the big myth about fiat money—the erroneous notion that printing money will lead to harmful inflation. To escape the mess created by past policy errors, we sometimes need to monetize government debt and finance fiscal deficits with central-bank money. Between Debt and the Devil shows why we need to reject the assumptions that private credit is essential to growth and fiat money is inevitably dangerous. Each has its advantages, and each creates risks that public policy must consciously balance.

Money Manipulation and Social Order

Money Manipulation and Social Order
Author: Denis Fahey
Publisher: Lulu.com
Total Pages: 101
Release: 1952
Genre: Currency question
ISBN: 2917813350


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Money, Financial Flows, and Credit in the Soviet Union

Money, Financial Flows, and Credit in the Soviet Union
Author: George Garvy
Publisher: New York : Published for the National Bureau of Economic Research by Ballinger Publishing Company, Cambridge, Mass.
Total Pages: 248
Release: 1977
Genre: Business & Economics
ISBN:


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Economic research monograph on banking and monetary policy in the USSR - covers foreign exchange, trade and the balance of payments, price stabilization policies, the nature of capital flows, foreign investments, financial planning, the credit system, etc. Bibliography pp. 204 to 218, diagram and references.

Finance and the Good Society

Finance and the Good Society
Author: Robert J. Shiller
Publisher: Princeton University Press
Total Pages: 312
Release: 2013-04-21
Genre: Business & Economics
ISBN: 140084617X


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Nobel Prize-winning economist explains why we need to reclaim finance for the common good The reputation of the financial industry could hardly be worse than it is today in the painful aftermath of the 2008 financial crisis. New York Times best-selling economist Robert Shiller is no apologist for the sins of finance—he is probably the only person to have predicted both the stock market bubble of 2000 and the real estate bubble that led up to the subprime mortgage meltdown. But in this important and timely book, Shiller argues that, rather than condemning finance, we need to reclaim it for the common good. He makes a powerful case for recognizing that finance, far from being a parasite on society, is one of the most powerful tools we have for solving our common problems and increasing the general well-being. We need more financial innovation—not less—and finance should play a larger role in helping society achieve its goals. Challenging the public and its leaders to rethink finance and its role in society, Shiller argues that finance should be defined not merely as the manipulation of money or the management of risk but as the stewardship of society's assets. He explains how people in financial careers—from CEO, investment manager, and banker to insurer, lawyer, and regulator—can and do manage, protect, and increase these assets. He describes how finance has historically contributed to the good of society through inventions such as insurance, mortgages, savings accounts, and pensions, and argues that we need to envision new ways to rechannel financial creativity to benefit society as a whole. Ultimately, Shiller shows how society can once again harness the power of finance for the greater good.

Corruption and Fraud in Financial Markets

Corruption and Fraud in Financial Markets
Author: Carol Alexander
Publisher: John Wiley & Sons
Total Pages: 624
Release: 2020-06-22
Genre: Business & Economics
ISBN: 1119421772


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Identifying malpractice and misconduct should be top priority for financial risk managers today Corruption and Fraud in Financial Markets identifies potential issues surrounding all types of fraud, misconduct, price/volume manipulation and other forms of malpractice. Chapters cover detection, prevention and regulation of corruption and fraud within different financial markets. Written by experts at the forefront of finance and risk management, this book details the many practices that bring potentially devastating consequences, including insider trading, bribery, false disclosure, frontrunning, options backdating, and improper execution or broker-agency relationships. Informed but corrupt traders manipulate prices in dark pools run by investment banks, using anonymous deals to move prices in their own favour, extracting value from ordinary investors time and time again. Strategies such as wash, ladder and spoofing trades are rife, even on regulated exchanges – and in unregulated cryptocurrency exchanges one can even see these manipulative quotes happening real-time in the limit order book. More generally, financial market misconduct and fraud affects about 15 percent of publicly listed companies each year and the resulting fines can devastate an organisation's budget and initiate a tailspin from which it may never recover. This book gives you a deeper understanding of all these issues to help prevent you and your company from falling victim to unethical practices. Learn about the different types of corruption and fraud and where they may be hiding in your organisation Identify improper relationships and conflicts of interest before they become a problem Understand the regulations surrounding market misconduct, and how they affect your firm Prevent budget-breaking fines and other potentially catastrophic consequences Since the LIBOR scandal, many major banks have been fined billions of dollars for manipulation of prices, exchange rates and interest rates. Headline cases aside, misconduct and fraud is uncomfortably prevalent in a large number of financial firms; it can exist in a wide variety of forms, with practices in multiple departments, making self-governance complex. Corruption and Fraud in Financial Markets is a comprehensive guide to identifying and stopping potential problems before they reach the level of finable misconduct.