Governing risk: the IMF and global financial crises

Governing risk: the IMF and global financial crises

Moschella, Manuela

32,64 €(IVA inc.)

By comparing the policies the international community requested the IMF to follow in the aftermath of the Mexican, Asian and subprime crises, the book traces the evolution of the international regulatory framework from an agent-centered constructivist perspective. MANUELA MOSCHELLA is Nino Andreatta Fellow at the University of Bologna, Italy. Previously, she was Visiting Fellow at Johns Hopkins University (USA), at Copenhagen Business School (Denmark) and also worked at the University of Trento, Italy. Her core research interests include the politics of change of International Organizations, with a specific focus on the IMF and the reforms to the international financial architecture. She has also researched on cross-sectoral global regulatory responses to financial crises. She has published in a number of journals, including the Review of International Political Economy, New Political Economy, the Journal of Public Policy, Comparative European Politics, and Comparative Economic Studies. INDICE: Introduction: The IMF and Global Finance Governance - EvolutionaryPolicies: Economic Ideas and Legitimacy Feedback - The 1990s Consensus on International Financial Integration - The Mexican Crisis: Testing the Consensus -The Asian Crisis: Questioning the Consensus - The Subprime Crisis: Towards a New Consensus - Conclusions: Past and Future of International Financial Governance

  • ISBN: 978-0-230-36795-1
  • Editorial: Palgrave MacM
  • Encuadernacion: Rústica
  • Páginas: 232
  • Fecha Publicación: 09/03/2012
  • Nº Volúmenes: 1
  • Idioma: Inglés