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  Managing Volatility and Crises: A Practitioner's Guide

Managing Volatility and Crises: A Practitioner's Guide
- May 2004
Edited by Joshua Aizenman and Brian Pinto

Table of Contents

Chapter Title
Overview Managing Volatility and Crises: A Practitioner's Guide: Overview - Joshua Aizenman and Brian Pinto - (622 kb PDF)
One Volatility: Definitions and Consequences - Holger Wolf - (506 kb PDF)
Two Volatility and Growth - Viktoria Hnatkovska and Norman Loayza - (681 kb PDF)
Three Volatility, Income Distribution, and Poverty - Thomas Laursen and Sandeep Mahajan - (785 kb PDF)
Four Finance and Volatility - Stijn Claessens - (1,020 kb PDF)
Five Commodity Price Volatility - Jan Dehn, Christopher L. Gilbert and Panos Varangis - (797 kb PDF)
Six Managing Oil Booms ad Busts in Developing Countries - Julia Devlin and Michael Lewin - (499 kb PDF)
Seven Managing Macroeconomic Crises: Policy Lessons - Jeffrey Frankel and Shang-Jin Wei - (2,214 kb PDF)
Eight Default Episodes in the 1980s and 1990s: What Have We Learned? - Punam Chunhan and Federico Sturzenegger - (757 kb PDF)
Nine Evaluating Pricing Signals from the Bond Markets - John J. Merrick, Jr. (Baruch College) - (599 kb PDF)
Ten Lessons from the Russian Crisis of 1998 and Recovery - Brian Pinto, Evsey Gurvich, and Sergei Ulatov - (700 kb PDF)
Eleven Argentina's Macroeconomic Collapse: Causes and Lessons - Luis Serven and Guillermo Perry - (641 kb PDF)
       

For additional information, contact Brian Pinto

 
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