株式会社極東書店トップ商品一覧Financial Market Bubbles and Crashes : Features, Causes, and Effects. 2nd ed.

商品詳細

Financial Market Bubbles and Crashes

Financial Market Bubbles and Crashes : Features, Causes, and Effects. 2nd ed. H.L.ヴォーゲル著金融市場バブルと暴落 第2版

・ISBN 978-3-319-71527-8 paper

お気に入り
著者・編者Vogel, Harold L.,
出版社(Palgrave Macmillan, UK)
出版年月2018
ページ数477 pp.
言語ENG
ニュース番号<645-500 645-P1098>

解説

Economists broadly define financial asset price bubbles as episodes in which prices rise with notable rapidity and depart from historically established asset valuation multiples and relationships. Financial economists have for decades attempted to study and interpret bubbles through the prisms of rational expectations, efficient markets, and equilibrium, arbitrage, and capital asset pricing models, but they have not made much if any progress toward a consistent and reliable theory that explains how and why bubbles (and crashes) evolve and can also be defined, measured, and compared. This book develops a new and different approach that is based on the central notion that bubbles and crashes reflect urgent short-side rationing, which means that, as such extreme conditions unfold, considerations of quantities owned or not owned begin to displace considerations of price.