단행본
The new paradigm for financial markets: the credit crisis of 2008 and what it means
- 개인저자
- George Soros
- 발행사항
- New York : PublicAffairs, 2008
- 형태사항
- xxiv, 162 p.: ill. ; 21cm
- ISBN
- 9781586486839
- 청구기호
- 320.942 So69t
- 서지주기
- Includes bibliographical references
소장정보
위치 | 등록번호 | 청구기호 / 출력 | 상태 | 반납예정일 |
---|---|---|---|---|
이용 가능 (1) | ||||
1자료실 | 00011453 | 대출가능 | - |
이용 가능 (1)
- 등록번호
- 00011453
- 상태/반납예정일
- 대출가능
- -
- 위치/청구기호(출력)
- 1자료실
책 소개
In the midst of the most serious financial upheaval since the Great Depression, legendary financier George Soros explores the origins of the crisis and its implications for the future. Soros, whose breadth of experience in financial markets is unrivaled, places the current crisis in the context of decades of study of how individuals and institutions handle the boom and bust cycles that now dominate global economic activity. “This is the worst financial crisis since the 1930s,” writes Soros in characterizing the scale of financial distress spreading across Wall Street and other financial centers around the world. In a concise essay that combines practical insight with philosophical depth, Soros makes an invaluable contribution to our understanding of the great credit crisis and its implications for our nation and the world.