
Global Capital Markets: Integration, Crisis, and Growth
by Maurice Obstfeld , Alan M. TaylorBuy New
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Summary
Author Biography
Table of Contents
Part I. Preamble: 1. Global capital markets: overview and origins: 1.1 Theoretical benefits | |
1.2 Problems of supernational capital markets in practice | |
1.3 The emergence of world capital markets | |
1.4 The trilemma: capital mobility, the exchange rate, and monetary policy | |
Part II. Global Capital in Modern Historical Perspective: 2. Globalization in capital markets: quantity evidence: 2.1 The stocks of foreign capital | |
2.2 The size of international flows | |
2.3 The saving-investment relationship | |
2.4 Caveats: quantity criteria | |
3. Globalization in capital markets: price evidence: 3.1 Real interest rate convergence | |
3.2 Exchange-risk free nominal interest parity | |
3.3 Purchasing power parity | |
3.4 Caveats: price criteria | |
3.5 Summary | |
Part III. The Political Economy of Capital Mobility: 4. Globalization in capital markets: a long-run narrative: 4.1 Capital without constraints: the gold standard, 1870-1931 | |
4.2 Crisis and compromise: depression and war, 1931-46 | |
4.3 Containment then collapse: Bretton Woods, 1946-71 | |
4.4 Crisis and compromise II: the floating era, 1971-99 | |
4.5 Measuring financial integration using data on legal restrictions | |
5. The trilemma in history: 5.1 Methodology | |
5.2 Data sources | |
5.3 Stationarity of nominal interest rates | |
5.4 Empirical findings: pooled annual differences | |
5.5 Empirical findings: individual-country dynamics | |
5.6 Conclusion | |
6. Sovereign risk, credibility, and the gold standard: 6.1 Five suggestive cases | |
6.2 Econometric analysis | |
6.3 Conclusion | |
Part IV. Lessons for Today: 7. Uneven rewards: 7.1 Foreign capital stocks: net versus gross | |
7.2 Foreign capital flows: rich versus poor | |
7.3 Foreign capital stocks: rich versus poor | |
7.4 Then: has foreign capital always been biased to the rich? | |
7.5 Now: have poor countries really liberalized their markets? | |
7.6 Variations in the types of capital flows | |
7.7 Summary | |
8. Uneven risks: 8.1 Open markets, crises, and volatility | |
8.2 Crises, controls and economic performance | |
8.3 Contagion and self-fulfilling crises | |
8.4 Market failure, government failure, and policy choices. |
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