Your email was sent successfully. Check your inbox.

An error occurred while sending the email. Please try again.

Proceed reservation?

Export
Filter
  • MPI Ethno. Forsch.  (17)
  • Cham : Imprint: Springer
  • [Erscheinungsort nicht ermittelbar] : Peter Lang International Academic Publishing Group
  • Economics  (17)
Datasource
  • MPI Ethno. Forsch.  (17)
  • BSZ  (17)
Material
Language
Years
  • 1
    Online Resource
    Online Resource
    Cham : Springer International Publishing | Cham : Imprint: Springer
    ISBN: 9783031516818
    Language: English
    Pages: 1 Online-Ressource (XLIII, 912 p. 129 illus., 87 illus. in color.)
    Edition: 3rd ed. 2024.
    Series Statement: Springer Texts in Business and Economics
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    RVK:
    Keywords: Dynamisches Gleichgewicht ; Allgemeines Gleichgewicht ; Agentenbasierte Modellierung ; CGE-Modell ; Theorie ; Economics ; Econometrics. ; Macroeconomics. ; Economic development. ; Computer science. ; Equilibrium (Economics) Mathematical models ; Economics, Mathematical ; Business Cycles ; Computational Economics ; Dynamic General Equilibrium Modeling ; General Equilibrium ; General Equilibrium Modeling ; Growth Theory ; Heterogeneous Agents ; Stochastic Rational Expectations Economies ; Agents ; Growth Model ; Ramsey Model ; Perturbation Methods ; Heterogenous Agent Models ; Monetary and Fiscal Policy ; MATLAB ; GAUSS ; Python ; Lehrbuch ; Dynamische Makroökonomie ; Allgemeines Gleichgewichtsmodell ; Dynamische Makroökonomie ; Allgemeines Gleichgewichtsmodell
    Abstract: Part I: Representative Agent Models: Basic Models -- Perturbation Methods: Framework and Tools -- Perturbation Methods: Solutions -- Perturbation Methods: Model Evaluation and Applications -- Weighted Residuals Methods -- Simulation-Based Methods -- Discrete State Space Value Function Iteration -- Part II: Heterogenous Agent Models: Computation of Stationary Distributions -- Dynamics of the Distribution Function -- Overlapping Generations Models with Perfect Foresight -- OLG Models with Uncertainty -- Part III: Numerical Methods: Linear Algebra -- Function Approximation -- Differentiation and Integration -- Nonlinear Equations and Optimization -- Difference Equations and Stochastic Processes.
    Abstract: Contemporary macroeconomics is built upon microeconomic principles, with its most recent advance featuring dynamic stochastic general equilibrium models. The textbook by Heer and Maußner acquaints readers with the essential computational techniques required to tackle these models and employ them for quantitative analysis. This third edition maintains the structure of the second, dividing the content into three separate parts dedicated to representative agent models, heterogeneous agent models, and numerical methods. At the same time, every chapter has been revised and two entirely new chapters have been added. The updated content reflects the latest advances in both numerical methods and their applications in macroeconomics, spanning areas like business-cycle analysis, economic growth theory, distributional economics, monetary and fiscal policy. The two new chapters delve into advanced techniques, including higher-order perturbation, weighted residual methods, and solutions to high-dimensional nonlinear problems. In addition, the authors present further insights from macroeconomic theory, complemented by practical applications like the Smolyak algorithm, Gorman aggregation, rare disaster models and dynamic Laffer curves. Lastly, the new edition places special emphasis on practical implementation across various programming languages; accordingly, its accompanying web page offers examples of computer code for languages such as MATLAB®, GAUSS, Fortran, Julia and Python. "This book does not only an excellent job in explaining the existing tools, but it also teaches the reader on how to write his/her own programs and it provides the reader with the tools to help advance the state of the art of dynamic macroeconomics." Wouter J. Den Haan, London School of Economics ”... provides the reader with exactly the necessary computational tools to solve the dynamic general equilibrium models macroeconomists care about. It is therefore the perfect complement to Stokey, Lucas and Prescott's and Sargent and Ljungqvist's theoretical treatment of modern macroeconomics." Dirk Krueger, University of Pennsylvania.
    Library Location Call Number Volume/Issue/Year Availability
    BibTip Others were also interested in ...
  • 2
    Online Resource
    Online Resource
    Cham : Springer International Publishing | Cham : Imprint: Springer
    ISBN: 9783031246012
    Language: English
    Pages: 1 Online-Ressource (XXI, 272 p. 48 illus., 1 illus. in color.)
    Series Statement: Springer Studies in the History of Economic Thought
    Uniform Title: Die politische Ökonomie von Friedrich List
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    RVK:
    Keywords: Economics—History. ; Economic history. ; Economics. ; Economics. ; List's economic theory ; social market economy ; History of economic thought ; economic history ; Democracy ; War and peace ; Slavery ; Development politics ; World economy ; German economics ; Friedrich List ; List, Friedrich 1789-1846 ; Politische Ökonomie ; List, Friedrich 1789-1846 ; Politische Ökonomie
    Abstract: Chapter 1. Biographical outline of List's life and work -- Chapter 2. The systematic positioning of List's economic theory -- Chapter 3. The distinction between List's economic theory and other economic systems -- Chapter 4. Friedrich List - Mastermind of the social market economy -- Chapter 5. Ethical roots of List's economic theory -- Chapter 6. Plea to mix different ethnic groups -- Chapter 7. The morning star of civil liberty -- Chapter 8. Friedrich List's understanding of democracy -- Chapter 9. War and Peace -- Chapter 10. Friedrich List's opinion on slavery -- Chapter 11. The petition to the Federal Assembly - a German "Place of Remembrance" -- Chapter 12. The labour and exchange value theory as well as the money theory of Friedrich List -- Chapter 13. Friedrich List - An economist with vision -- Chapter 14. Opinion about Russia, especially about its ambition for power and its expansionist policy -- Chapter 15. The transformation of Friedrich List's theory of state and economy to Georgia - a model experiment -- Chapter 16. Friedrich List and European Integration -- Chapter 17. How would Friedrich List comment on Brexit? -- Chapter 18. For the emancipation of Jews and against anti-Semitism -- Chapter 19. Broad development policy guidelines -- Chapter 20. Current and future core problems of the world economy -- Chapter 21. Epilogue.
    Abstract: This book offers a comprehensive assessment of Friedrich List's economic and political thinking. It starts with a systematic positioning of List`s economic theory as well as a differentiation from other economic systems. Furthermore, it examines the ethical sources of List`s theory, as well as List`s geopolitical, technical and economic visions. The author also introduces List as the pre-thinker of social market economy and discusses his ideas on European integration, development politics and List’s assessment of the main problems of the modern world economy. The book will appeal to scholars and students of the history of economic thought and economic history, as well as anyone interested in the life and work of the German economist Friedrich List (1789-1846). This book is a translation of an original German edition. The translation was done with the help of artificial intelligence (machine translation by the service DeepL.com). A subsequent human revision was done primarily in terms of content, so that the book will read stylistically differently from a conventional translation.
    Note: Translation from the German language edition: "Die Politische Ökonomie von Friedrich List" by Eugen Wendler, © The publisher 2020. Published by Springer Fachmedien Wiesbaden GmbH
    Library Location Call Number Volume/Issue/Year Availability
    BibTip Others were also interested in ...
  • 3
    ISBN: 9783031295836
    Language: English
    Pages: 1 Online-Ressource (X, 264 p. 22 illus., 16 illus. in color.)
    Series Statement: Lecture Notes in Economics and Mathematical Systems 692
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als Advanced mathematical methods for economic efficiency analysis
    RVK:
    Keywords: Social sciences—Mathematics. ; Econometrics. ; Power resources. ; Environmental economics. ; Social sciences ; Efficiency Analysis ; Maximum Entropy ; Fractional Regression Models ; Stochastic Frontier Analysis ; Data Envelopment Analysis ; Health Economics ; Environmental Economics ; Energy Economics ; Agricultural Economics ; Frontier Estimation ; Linear Programming ; Mathematical Economics ; Quantitative Economics ; Aufsatzsammlung ; Finanzmathematik ; Frontier-Funktion ; Data Envelopment Analysis
    Abstract: Chapter 1. Introduction -- Part I -- Chapter 2. Production Economics and Economic Efficiency (Mónica Meireles) -- Chapter 3. Data Envelopment Analysis: A Review and Synthesis (Ana S. Camanho) -- Chapter 4. Stochastic Frontier Analysis: A Review and Synthesis (Mara Madaleno) -- Part II -- Chapter 5. Combining Directional Distances and ELECTRE Multicriteria Decision Analysis for Preferable Assessments of Efficiency (Thyago Nepomuceno) -- Chapter 6. Benefit-of-the-Doubt Composite Indicators and use of Weight Restrictions (Ana S. Camanho) -- Chapter 7. Multidirectional Dynamic Inefficiency Analysis: An Extension to Include Corporate Social Responsibility (Magdalena Kapelko) -- Chapter 8. Stochastic DEA (Samah Jradi) -- Chapter 9. Internal Benchmarking for Efficiency Evaluations using Data Envelopment Analysis: A Review of Applications and Directions for Future Research (Fabio Sartori Piran) -- Part III -- Chapter 10. Recent Advances in the Construction of Nonparametric Stochastic Frontier Models (Christopher F. Parmeter) -- Chapter 11. A Hierarchical Panel Data Model for the Estimation of Stochastic Metafrontiers: Computational Issues and an Empirical Application (Christine Amsler) -- Chapter 12. Robustness in Stochastic Frontier Analysis (Alexander D. Stead) -- Chapter 13. Is it MOLS or COLS? (Christopher F. Parmeter) -- Chapter 14. Stochastic Frontier Analysis with Maximum Entropy Estimation (Pedro Macedo).
    Abstract: Economic efficiency analysis has received considerable worldwide attention in the last few decades, with Stochastic Frontier Analysis (SFA) and Data Envelopment Analysis (DEA) establishing themselves as the two dominant approaches in the literature. This book, by combining cutting-edge theoretical research on DEA and SFA with attractive real-world applications, offers a valuable asset for professors, students, researchers, and professionals working in all branches of economic efficiency analysis, as well as those concerned with the corresponding economic policies. The book is divided into three parts, the first of which is devoted to basic concepts, making the content self-contained. The second is devoted to DEA, and the third to SFA. The topics covered in Part 2 range from stochastic DEA to multidirectional dynamic inefficiency analysis, including directional distance functions, the elimination and choice translating algorithm, benefit-of-the-doubt composite indicators, and internal benchmarking for efficiency evaluations. Part 3 also includes exciting and cutting-edge theoretical research on e.g. robustness, nonparametric stochastic frontier models, hierarchical panel data models, and estimation methods like corrected ordinary least squares and maximum entropy.
    Library Location Call Number Volume/Issue/Year Availability
    BibTip Others were also interested in ...
  • 4
    ISBN: 9783031230158
    Language: English
    Pages: 1 Online-Ressource (VIII, 393 p. 32 illus., 21 illus. in color.)
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als Power and responsibility
    RVK:
    Keywords: Political science—Philosophy. ; Game theory. ; Economics. ; Social choice. ; Welfare economics. ; Political planning. ; Political science ; Public choice ; Game theory ; Political economy ; Philosophy ; Quantitative economics ; voting and voting power ; labor economics ; Social Choice and Welfare ; Festschrift ; Aufsatzsammlung
    Abstract: Chapter 1. Instead of an introduction - Manfred on his 75th Birthday (Heinz Kurz) -- Part I. Economics and Philosophy -- Chapter 2. Three Types of Dramatic Irony (Timo Airaksinen) -- Chapter 3. Defence is of Much More Importance than Opulence: Adam Smith on the Political Economy of War (Heinz Kurz) -- Part II. Labor Economics -- Chapter 4. Relative Absence Concerns, Positional Consumption Preferences and Working Hours (Laszlo Goerke) -- Chapter 5. Power, Responsibility and Social Policy: The Impact of Basic Income in a Competitive Experimental Labor Market (Veera Jokipalo) -- Part III. Voting and Voting Power -- Chapter 6. Computing the Public Good index for weighted voting games with precoalitions using dynamic programming (Jochen Staudacher) -- Chapter 7. The Art and Beauty of Voting Power (Sascha Kurz) -- Chapter 8. An application of power indices for the family of weighted majority games in partition function form (José Alonso Meijide) -- Chapter 9. Measuring Voting Power in Complex Shareholding Structures: a Public Good Index Approach (Izabella Stach).
    Abstract: Written by leading scholars from various disciplines, this book presents current research on topics such as public choice, game theory, and political economy. It features contributions on fundamental, methodological, and empirical issues around the concepts of power and responsibility that strive to bridge the gap between different disciplinary approaches. The contributions fall into roughly four sub-disciplines: voting and voting power, public economics and politics, economics and philosophy, as well as labor economics. On the occasion of his 75th birthday, this book is written in honor of Manfred J. Holler, an economist by training and profession whose work as a guiding light has helped advance our understanding of the interdisciplinary connections of concepts of power and responsibility. He has written many articles and books on game theory, and worked extensively on questions of labor economics, politics, and philosophy. .
    Library Location Call Number Volume/Issue/Year Availability
    BibTip Others were also interested in ...
  • 5
    Online Resource
    Online Resource
    Cham : Springer International Publishing | Cham : Imprint: Springer
    ISBN: 9783030877286
    Language: English
    Pages: 1 Online-Ressource (XII, 308 p. 10 illus.)
    Edition: 2nd ed. 2022.
    Series Statement: Classroom Companion: Economics
    Series Statement: Springer eBook Collection
    Parallel Title: Erscheint auch als Kolmar, Martin, 1967 - Workbook for principles of microeconomics
    Parallel Title: Erscheint auch als
    RVK:
    Keywords: Mikroökonomik ; Microeconomics. ; Economics—Psychological aspects. ; Economics—History. ; Econometrics. ; Schools of economics. ; Philosophy of economics ; Comparative advantage ; Supply and demand ; Market failures ; Individual and cooperative behavior ; Monopoly and oligopolistic competition ; Modern microeconomics ; Institutional economics ; Externalities ; Rational-choice models ; Behavioral economics
    Abstract: First Principles -- Gains from Trade -- Markets and Institutions - Introduction -- Supply and Demand -- Normative Economics -- Externalities -- Decisions and Consumber Behavior -- Costs -- A Second Look -- Firm Behavior in Monopolistic Markets -- Principles of Game Theories -- Firm Behavior in Oligopolistic Markets -- Elasticity.
    Abstract: This Second Edition updates the companion workbook to match the new edition of the textbook Principles of Microeconomics. Each chapter features a wide variety of exercises, ranging from basic multiple-choice questions to challenging mathematical problems and case study scenarios. The textbook pursues an integrative approach to modern microeconomics by critically reflecting on the main findings of economics from a philosophical standpoint and comparing them to approaches found in the social sciences. It adopts an institutional perspective to analyze the potential and limitations of different market types, and highlights implications for the design of the legal system and business practices throughout. In addition to traditional rational-choice models, important findings from behavioral economics and psychology are also presented.
    Library Location Call Number Volume/Issue/Year Availability
    BibTip Others were also interested in ...
  • 6
    Online Resource
    Online Resource
    Cham : Springer International Publishing | Cham : Imprint: Springer
    ISBN: 9783030903107
    Language: English
    Pages: 1 Online-Ressource(XVI, 243 p. 38 illus., 11 illus. in color.)
    Edition: 1st ed. 2022.
    Series Statement: Springer Studies in the History of Economic Thought
    Series Statement: Springer eBook Collection
    Parallel Title: Erscheint auch als Assous, Michaël, 1975 - Modeling economic instability
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    RVK:
    Keywords: 1920-1950 ; Wirtschaftskrise ; Makroökonomik ; Makroökonomisches Modell ; Konjunkturtheorie ; Ökonomische Ideengeschichte ; Economics—History. ; Macroeconomics. ; Econometrics. ; Economic history.
    Abstract: Chapter 1. Looking for dynamic economics: Tinbergen’s early breakthrough -- Chapter 2. Relaxation oscillations in the early development of econometrics: a road not taken -- Chapter 3. Frisch’s macro-dynamics: inner stability and external impulses -- Chapter 4. Kalecki’s macro-dynamics: “Automatic cycles,” stagnation and class struggle -- Chapter 5. Tinbergen’s macro-dynamics: Instability and the possibility of collapse -- Chapter 6. Business cycles, pump-priming and the role of public expenditures -- Chapter 7. Stability analysis and early Keynesian systems -- Chapter 8. Full employment and instability: Disentangling issues on existence and stability.
    Abstract: This book offers a fresh perspective on the early history of macroeconomics, by examining the macro-dynamic models developed from the late 1920s to the late 1940s, and their treatment of economic instability. It first explores the differences and similarities between the early mathematical business cycle models developed by Ragnar Frisch, Michal Kalecki, Jan Tinbergen and others, which were presented at meetings of the Econometric Society and discussed in private correspondence. By doing so, it demonstrates the diversity of models representing economic phenomena and especially economic crises and instability. Jan Tinbergen emerged as one of the most original and pivotal economists of this period, before becoming a leader of the macro-econometric movement, a role for which he is better known. His emphasis on economic policy was later mirrored in the United States in Paul Samuelson’s early work on business cycles analysis, which, drawing on Alvin Hansen, aimed at interpreting the 1937-1938 recession. The authors then show that the subsequent shift in Samuelson's approach, from the study of business cycle trajectories to the comparison of equilibrium points, provided a response to the econometricians' critique of early Keynesian models. In the early 1940s, Samuelson was able to link together the tools that had been developed by the econometricians and the economic content that was at the heart of the so-called Keynesian revolution. The problem then shifted from business cycle trajectories to the disequilibrium between economic aggregates, and the issues raised by the global stability of full employment equilibrium. This was addressed by Oskar Lange, who presented an analysis of market coordination failures, and Lawrence Klein, Samuelson's first PhD student, who pursued empirical work in this direction. The book highlights the various visions and approaches that were embedded in these macro-dynamic models, and that their originality is of interest to today's model builders as well as to students and anyone interested in how new economic ideas come to be developed.
    Library Location Call Number Volume/Issue/Year Availability
    BibTip Others were also interested in ...
  • 7
    Online Resource
    Online Resource
    Cham : Springer International Publishing | Cham : Imprint: Springer
    ISBN: 9783030766467
    Language: English
    Pages: 1 Online-Ressource (XIII, 275 p. 45 illus., 1 illus. in color.)
    Series Statement: Springer Texts in Business and Economics
    Series Statement: Springer eBook Collection
    Parallel Title: Erscheint auch als Conway, Richard S. Empirical regional economics
    Parallel Title: Erscheint auch als
    RVK:
    Keywords: Regional economics. ; Spatial economics. ; Environmental geography. ; Economic development. ; Regional economic theory ; Regional economic growth ; Regional and spatial science ; Regional economic forecasting ; Input-output analysis ; Urban economics ; Structural time-series model ; Regionalwirtschaft ; Raumwirtschaftstheorie ; Regionale Wirtschaftsstruktur
    Abstract: Part I: Regional Economic Base Theory -- Part II: Regional Economic Models and Applications -- Part III: Regional Economic Case Studies.
    Abstract: This textbook offers an introduction to empirical regional economics, including a comprehensive and systematic overview of the fundamentals, history, development, and applications of economic base models. It not only provides a sound basis for regional economics and regional economic analysis, but it also includes numerous applications of the underlying theory. The book has an empirical orientation, highlighting the value of observation and testing in order to explain regional economic behavior. Theory plays an important role in this study, but it is only a starting point. The book is divided into three parts: the first discusses the economic base theory of regional growth and the empirical evidence supporting it, while the second part covers the specification and application of four increasingly complex regional economic models: the economic base model, the input-output model, the interindustry econometric model, and the structural time-series model. Lastly, the third part presents forty-eight regional economic case studies organized under seven headings, including economic cycles, economic policy, and regional forecasting. Given its scope, the book appeals to upper-undergraduate and graduate students majoring in economics, economic geography, and business, as well as to anyone in the private or public sector interested in gaining a better understanding of practical methods of regional economic forecasting and analysis.
    URL: Cover
    Library Location Call Number Volume/Issue/Year Availability
    BibTip Others were also interested in ...
  • 8
    Online Resource
    Online Resource
    Cham : Springer International Publishing | Cham : Imprint: Springer
    ISBN: 9783031162411
    Language: English
    Pages: 1 Online-Ressource (XIII, 277 Seiten) , Illustrationen
    Edition: 3rd ed. 2022.
    Series Statement: Contributions to Finance and Accounting
    Series Statement: Springer eBook Collection
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    RVK:
    Keywords: Bank ; Industrieökonomik ; Struktur-Verhalten-Ergebnis- Paradigma ; Internationale Bank ; Bankenregulierung ; Theorie ; Financial services industry. ; Industrial organization. ; Business enterprises—Finance. ; Bank Behavior ; Bank Market Structure ; Bank Regulation ; Banking ; Banking Industry ; Industrial Economics ; Industrial Organization ; Industrial Organization of Banking ; Lehrbuch ; Bank ; Wirtschaftliches Verhalten ; Marktstruktur ; Regulierung ; Industrieökonomie
    Abstract: This book provides an evaluation of the industrial organization of banking with a focus on the interrelationship among bank behavior, market structure, and regulation. It addresses a wide range of public policy topics, including bank competition and risk, international banking, antitrust issues, and capital regulation. New to this edition, which has been updated throughout, is a broadened consideration of alternative theories of competition among banks, which includes discussions of such issues as the implications of large increases in bank reserve holdings in recent years, effects of nonprice competition through quality rivalry, analysis of mixed market structures involving both large and small banks, and international interactions of banks and policymakers. The intent of the book is to serve as a learning tool and reference for graduate students, academics, bankers, and policymakers seeking to better understand the industrial organization of the banking sector and the effects of banking regulations.
    Library Location Call Number Volume/Issue/Year Availability
    BibTip Others were also interested in ...
  • 9
    Online Resource
    Online Resource
    Cham : Springer International Publishing | Cham : Imprint: Springer
    ISBN: 9783030801588
    Language: English
    Pages: 1 Online-Ressource (VII, 434 p. 1 illus.)
    Edition: 4th ed. 2022.
    Series Statement: Classroom Companion: Economics
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    RVK:
    RVK:
    Keywords: Ökonometrie ; PC-Software ; Theorie ; EViews ; Stata ; Econometrics. ; Statistics . ; Social sciences—Mathematics. ; Mathematics—Philosophy. ; Econometrics ; Empirical research ; Panel data ; Solutions manual ; Time series analysis ; Handbuch ; Ökonometrie
    Abstract: What Is Econometrics? -- A Review of Some Basic Statistical Concepts -- Simple Linear Regression -- Multiple Regression Analysis -- Violations of the Classical Assumptions -- Distributed Lags and Dynamic Models -- The General Linear Model: The Basics -- Regression Diagnostics and Specification Tests -- Generalized Least Squares -- Seemingly Unrelated Regressions -- Simultaneous Equations Model -- Pooling Time-Series of Cross-Section Data -- Limited Dependent Variables -- Time-Series Analysis.
    Abstract: This Fourth Edition updates the "Solutions Manual for Econometrics" to match the Sixth Edition of the Econometrics textbook. It adds problems and solutions using latest software versions of Stata and EViews. Special features include empirical examples replicated using EViews, Stata as well as SAS. The book offers rigorous proofs and treatment of difficult econometrics concepts in a simple and clear way, and provides the reader with both applied and theoretical econometrics problems along with their solutions. These should prove useful to students and instructors using this book.
    Library Location Call Number Volume/Issue/Year Availability
    BibTip Others were also interested in ...
  • 10
    Online Resource
    Online Resource
    Cham : Springer International Publishing | Cham : Imprint: Springer
    ISBN: 9783030781675
    Language: English
    Pages: 1 Online-Ressource(XV, 499 p. 104 illus.)
    Edition: 2nd ed. 2022.
    Series Statement: Classroom Companion: Economics
    Series Statement: Springer eBook Collection
    Parallel Title: Erscheint auch als Kolmar, Martin, 1967 - Principles of microeconomics
    Parallel Title: Erscheint auch als
    RVK:
    Keywords: Mikroökonomik ; Behavioral economics. ; Economic history. ; Economic theory. ; Microeconomics. ; Schools of economics. ; Economics—History. ; Econometrics. ; Economics—Psychological aspects. ; Mikroökonomie
    Abstract: Introduction: First Principles -- Gains from Trade -- A Primer in Markets and Institutions: Introduction -- Supply and Demand Under Perfect Competition -- Normative Economics -- Externalities and the Limits of Markets -- Foundations of Demand and Supply: Decisions and Consumer Behavior -- Costs -- Firm Behavior and Industrial Organization: A Second Look at Firm Behavior Under Perfect Competition -- Firm Behavior in Monopolistic Markets -- Principles of Game Theory -- Firm Behavior in Oligopolistic Markets -- Appendix: A Case Study -- Mathematical Appendix.
    Abstract: This textbook provides a comprehensive and unique introduction to modern microeconomics. It adopts an integrative approach, positioning the main findings of economics in a broader context. It critically reflects on theories from a philosophical standpoint and compares them to approaches found in the social sciences, while at the same time highlighting the implications for the design of legal systems and business practices. Intended for undergraduate students, the book presents brief examples and comprehensive case studies to help them grasp the real-world implications of the theories. As such, it is suitable for an applied, yet technically precise approach to teaching microeconomics, as well as for a critical review of the economic mainstream. Starting from the question as to why and how societies organize economic activity, it analyzes the potential and limitations of various types of market with regard to alleviating scarcity and achieving distributive objectives, from an institutional perspective. This second edition systematically expands on decision theory by including chapters on traditional decision theory under risk and uncertainty, and on behavioral economics, as well as a chapter presenting findings from the neurosciences, evolutionary psychology, and narrative psychology. Furthermore, there are theoretical additions, along with updated case studies and examples – from trade wars to pandemics and the climate crisis. A new edition of the companion workbook features a wealth of exercises, ranging from basic multiple-choice questions to challenging mathematical problems and case studies, is also available.
    URL: Cover
    Library Location Call Number Volume/Issue/Year Availability
    BibTip Others were also interested in ...
  • 11
    Online Resource
    Online Resource
    Cham : Springer International Publishing | Cham : Imprint: Springer
    ISBN: 9783030861223
    Language: English
    Pages: 1 Online-Ressource(VIII, 310 p. 42 illus. in color.)
    Edition: 1st ed. 2022.
    Series Statement: Understanding China
    Series Statement: Springer eBook Collection
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als China and the Belt and Road Initiative
    RVK:
    RVK:
    RVK:
    Keywords: Neue Seidenstraße ; Handelsabkommen ; Geopolitik ; China ; Internationale Wirtschaftsbeziehungen ; Regionale Wirtschaftsintegration ; Europa ; International economics. ; Asia—Politics and government. ; International business enterprises. ; Asia—Economic conditions. ; Europe—Politics and government. ; International relations. ; International trade.
    Abstract: Introduction -- Section 1: Theoretical overview of China and BRI relations -- Narrating Models of Development - China and the EU between ‘Strategic Modernizer’ and ‘Rules-based Transformer’ -- Challenges and Opportunities in the EU-China Trade Relations -- From ‘International Relations’ to ‘Global Foreign Policy’ – examining the new framework of Chinese strategic relations through the BRI -- Section 2: BRI collaboration through the business sector -- In Fear of the Trojan Horse? China’s Cross-Border Acquisitions in Europe amid the One-Belt-One-Road Initiative -- Unwary dreams, rude awakenings: BRI in the developing world and emerging Europe -- Towards a Win-Win EU-China Bilateral Investment Treaty: Challenges and Prospects -- Section 3: Country case studies -- Russia–China Collaboration Under Pressure From the West: The Russian Perspective -- EU–China – failed prospects of win-win partnership -- On the role of the Belt & Road Initiative and the 17+1 cooperation within the Sino-European relation -- A test-case for Europe: Sino-Italian relations in the ‘Old’ and ‘New’ Cold War -- Commercial relations between Italy and China from the past to the future. .
    Abstract: This book offers critical insights into the China-led Belt and Road Initiative (BRI) from an EU perspective. It analyzes the political, cultural, and diplomatic effectiveness of Xi's efforts to expand socio-cultural ties and build new trade corridors between Europe and the Far East, and sheds light on the lasting success and influence of China-led economic programs. The book is divided into three parts. The first part provides an overview of the various dimensions of the BRI initiative, including the challenges and opportunities of the EU-China trade relationship, China's geopolitical interests, and foreign policy approaches. The second part analyzes BRI cooperation from the perspective of the business sector, while the third part presents case studies that examine the impacts and responses of various European countries to the BRI.
    URL: Cover
    Library Location Call Number Volume/Issue/Year Availability
    BibTip Others were also interested in ...
  • 12
    ISBN: 9783031103025
    Language: English
    Pages: 1 Online-Ressource (VIII, 324 p. 49 illus. in color.)
    Series Statement: Springer Proceedings in Business and Economics
    Series Statement: Springer eBook Collection
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als Villa Mondragone International Economic Seminar ((32nd : : 2021 : Rome, Italy)) Economic challenges for Europe after the pandemic
    RVK:
    RVK:
    RVK:
    Keywords: Macroeconomics. ; Economic development. ; Economic policy. ; International economic relations. ; Development economics. ; Power resources. ; Environmental economics. ; Covid-19 ; Pandemic ; New normal ; Inclusive growth ; Sustainable development ; Endogenous dynamism ; Green deal ; Digital transformation ; Economic inequality ; Macroeconomic policy ; European Union ; United States ; Fiscal policy ; Resilience strategies ; Global value chains ; Global trade ; Konferenzschrift ; Europa ; COVID-19 ; Pandemie ; Wirtschaftsentwicklung
    Abstract: Chapter 1. Creating an Epistemic Community: The Experience of the Villa Mondragone International Economic Seminar -- Chapter 2. Will the EU Grow Faster Than in the Past Decade After Covid-19? -- Chapter 3. Covid-19 and the Golden Rule of Social Distancing -- Chapter 4. The New European Industrial Policy and the Case of ‘pharmaceuticals and Biotechnology’ Industry -- Chapter 5. Assessing Next Generation EU -- Chapter 6. Globalisation in Europe: Consequences for the Business Environment and Future Patterns in Light of Covid-19 -- Chapter 7. A Framework for a New Nature-based Economic Paradigm -- Chapter 8. Public Policies and Long-run Growth in a Model with Environmental Degradation -- Chapter 9. Distributional Effects of Monetary Policy -- Chapter 10. The Covid-19 Shock and a Fiscal-monetary Policy Mix in a Monetary Union -- Chapter 11. Policy Mix During a Pandemic Crisis: A Review of the Debate on Monetary and Fiscal Responses and the Legacy for the Future -- Chapter 12. Next Generation EU, Green Deal and Sustainable Growth.
    Abstract: This book focuses on the recovery and new normal in a post-Covid scenario, drawing important lessons from the pandemic and proposing new ideas for sustainable development, endogenous dynamism, and inclusive growth. The book presents different ideas and perspectives about the present and the future, reflecting on four main fields of our economic reality: macroeconomics, governments, technology, and society. It discusses important topics for future economic scenarios, beginning with an estimation of the economic consequences of the absence of an equitable distribution of vaccines. Further topics discussed include the government’s debts sustainability, the probability of an inflation/deflation or of a stagflation scenario, as well as the impact of US and European economic policies on economic growth. The book further investigates the economic costs of the pandemic, which have fallen most heavily on those least able to bear them. It examines governments subsidies, which supported people and firms through wage subsidies, unemployment benefits, and other fiscal measures, and discusses the question of whether more investment in health care, education, and other public services will still be needed. In a time of immense change and global challenges, this book is a must-read for scholars, researchers, and students of economics, as well as policy-makers interested in a better understanding of economic growth, energy, environment, migration, development, digital transformation, and demography.
    Library Location Call Number Volume/Issue/Year Availability
    BibTip Others were also interested in ...
  • 13
    ISBN: 9783030883744
    Language: English
    Pages: 1 Online-Ressource (XXI, 270 p. 28 illus., 11 illus. in color.)
    Edition: 1st ed. 2022.
    Series Statement: Risk, Governance and Society 20
    Series Statement: Springer eBook Collection
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als Risk management
    RVK:
    RVK:
    Keywords: Risikomanagement ; Coronavirus ; Corporate Governance ; Aufsichtsbehörde ; KMU ; Risk management. ; Macroeconomics. ; Public administration. ; Economic sociology. ; Political science. ; Financial risk management. ; Finance.
    Abstract: Understanding risk debates through Mary Douglas: environment, inequality and COVID-19 -- Analyzing model risks in risk aggregation of non-financial corporations -- The interruptive power of COVID-19 under a business continuity perspective -- Modelling the risk and reward trade-off for SMEs: a case study -- The relationship between ERM and performance revisited: empirical evidence from SMEs -- Risk management implementation by SMEs investigated through a lens of ERM maturity models -- Drivers of ERM in SMEs: which corporate governance features matter? -- Insights from the boardroom: opening the ‘black box’ of board risk oversight -- Supervisory pressure and risk management systems: empirical evidence from the banking context -- Setting up risk disclosure: case study insights from an integrated reporting pioneer -- Integrated report and credit risk: empirical evidence from a mandatory integrated reporting setting -- Lessons learnt and directions for future research on risk and risk management in diverse settings.
    Abstract: This volume offers new, convincing empirical evidence on topical risk- and risk management-related issues in diverse settings, using an interdisciplinary approach. The authors advance compelling arguments, firmly anchored to well-accepted theoretical frameworks, while adopting either qualitative or quantitative research methodologies. The book presents interviews and surveys with risk managers to gather insights on risk management and risk disclosure in practice. Additionally, the book collects and analyzes information contained in public reports to capture risk disclosure and perceptions on risk management impacts on companies’ internal organization. It sheds light on financial and market values to understand the effect of risk management on actual and perceived firm’s performance, respectively. Further, it examines the impacts of risk and risk management on society and the economy. The book improves awareness and advances knowledge on the complex and changeable risk and risk management fields of study. It interweaves among topical, up-to-date issues, peculiar, under-investigated contexts, and differentiated, complementary viewpoints on the same themes. Therefore, the book is a must-read for scholars and researchers, as well as practitioners and policy makers, interested in a better understanding of risk and risk management studies in different fields.
    Library Location Call Number Volume/Issue/Year Availability
    BibTip Others were also interested in ...
  • 14
    Online Resource
    Online Resource
    Cham : Springer International Publishing | Cham : Imprint: Springer
    ISBN: 9783030920586
    Language: English
    Pages: 1 Online-Ressource (XXIII, 343 p. 86 illus., 84 illus. in color.)
    Edition: 4th ed. 2022.
    Series Statement: Springer Texts in Business and Economics
    Series Statement: Springer eBook Collection
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    RVK:
    RVK:
    RVK:
    Keywords: Geldpolitik ; Finanzpolitik ; Wirtschaftspolitik ; Makroökonomik ; Theorie ; Macroeconomics. ; Economic policy. ; Econometrics. ; Finance. ; macroeconomic policy ; fiscal policy ; monetary policy ; Modern Monetary Theory ; asset-price bubble ; Covid-19 ; inflation ; supply-side model ; Keynesian model ; Makroökonomie ; Finanzpolitik ; Geldpolitik ; Wirtschaftspolitik
    Abstract: Chapter 1. Introduction and Overview of the Fourth Edition -- Chapter 2. National Income Accounts -- Chapter 3. Budget Deficits, Trade Deficits and Global Capital Flows: The National Savings Identity -- Chapter 4. Aggregate Demand: Setting the Stage for Demand-Side Stabilization -- Chapter 5. Demand-Side Stabilization: Overheating, Hard Landing, and Everything in Between -- Chapter 6. Long-Term Interest Rates, the Yield Curve, and Hyperinflation -- Chapter 7. ISLM: The Engine Room -- Chapter 8. The Classical Model -- Chapter 9. The Keynesian Model -- Chapter 10. The Supply-Side Model and the New Economy -- Chapter 11. After Covid: MMT and other Major Global Macropolicy Issues -- Chapter 12. Central Banks and Monetary Policy.
    Abstract: This book is an applications-oriented text designed for individuals who desire a hands-on approach to analyzing the effects of fiscal and monetary policies. Significantly updated for the fourth edition, the text provides an understanding of the global economy in the wake of the COVID crisis, discussing topics such as pandemic related supply and demand-side shocks, the role of Modern Monetary Theory (MMT) in financing COVID rescue plans, the effect of the US, India, Eurozone and China’s post-COVID economies on emerging and transitioning economies, and the resurgence of inflation. This edition includes deeper coverage on the issue of budget deficit sustainability and on trade wars, especially in a global context, and revisits the life cycles of speculative asset price (SAP) bubbles, especially in the housing markets and in SPACs. The fourth edition contains several brand-new cases and media articles that are carefully positioned to relate explicitly to theory, and to look ahead to and preempt global macro situations and polices in the years to come. MBA students and Executive MBA students who appreciate the importance of monetary and fiscal analysis will find this text to be right on target. Financial analysts and individual investors who need to strip away economic myths and jargon and systematically examine and understand the effects of macro policies on variables such as inflation, output, employment and interest rates, will also find the book extremely useful.
    Library Location Call Number Volume/Issue/Year Availability
    BibTip Others were also interested in ...
  • 15
    Online Resource
    Online Resource
    Cham : Springer International Publishing | Cham : Imprint: Springer
    ISBN: 9783031096006
    Language: English
    Pages: 1 Online-Ressource (X, 253 Seiten 72 illus., 71 illus. in color.)
    Series Statement: Lecture Notes in Economics and Mathematical Systems 693
    Series Statement: Springer eBook Collection
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als Gomes, Orlando, 1964 - Intertemporal and strategic modelling in economics
    RVK:
    Keywords: Macroeconomics. ; Economic development. ; International economic relations. ; Economic Modelling ; Economic Dynamics ; Game theory ; Intertemporal Approach in Economics ; Strategic Interaction ; Dynamic Macroeconomics ; Economic Growth ; Economic Decision Making ; Strategic Decision-Making
    Abstract: Chapter 1. Dynamics: Intertemporal Decision-Making -- Chapter 2. Games: Strategic Decision-Making -- Chapter 3. Economic Growth Models -- Chapter 4. More on Growth Dynamics: Endogenous Growth and Beyond -- Chapter 5. The Search and Matching Model -- Chapter 6. Fiscal Policy and Government Intervention -- Chapter 7. New Keynesian Macro Dynamics -- Chapter 8. International Trade and Geography -- Chapter 9. Additional Applications.
    Abstract: This textbook introduces readers to essential tools, techniques and methods for intertemporal and strategic modeling in economics. It presents a variety of analytical models covering both dynamic processes and strategic interaction. Students will learn the basic mechanisms associated with the intertemporal approach, on the one hand, and game theory, i.e., the strategic approach, on the other. In addition, a wide range of applications are explored, including growth models, labor markets, international trade, and individual decision-making. Intended for upper undergraduate and graduate students in economics and related fields with a background in mathematics and calculus, this textbook provides a comprehensive introduction to economic modeling and its applications. By avoiding excessive formalism and exploring straightforward examples and applications, it is optimally suited for graduate courses in economics and finance.
    Library Location Call Number Volume/Issue/Year Availability
    BibTip Others were also interested in ...
  • 16
    Online Resource
    Online Resource
    Cham : Springer International Publishing | Cham : Imprint: Springer
    ISBN: 9783030912314
    Language: English
    Pages: 1 Online-Ressource (195 illus., 97 illus. in color. eReference.)
    Edition: 3rd ed. 2022.
    Series Statement: Springer eBook Collection
    Parallel Title: Erscheint auch als
    RVK:
    RVK:
    Keywords: Kapitalanlage ; Finanzmarkt ; Finanzdienstleistung ; Kapitalmarkttheorie ; Portfolio-Management ; Unternehmensfinanzierung ; Theorie ; Welt ; USA ; Business enterprises—Finance. ; Accounting. ; Financial engineering. ; Financial statements. ; Financial risk management. ; Econometrics. ; Financial Management ; Financial Markets and Instruments ; Financial Technology ; International Finance ; Financial Econometrics ; Portfolio Management ; Capital asset pricing model (CAPM) ; Security Analysis ; Credit Derivatives ; Credit Risk ; Capital Budgeting ; Aufsatzsammlung ; Bank ; Kapitalmarkt ; Kreditwesen ; Kreditmarkt ; Finanzmanagement ; Finanzwirtschaft
    Abstract: Terms and Essays -- Deposit Insurance Schemes -- Gramm-Leach-Bliley Act: Creating a New Bank for a New Millennium -- Pre-funded Coupon and Zero-Coupon Bonds: Cost of Capital Analysis -- Intertemporal Risk and Currency Risk -- Credit Derivatives -- Foreign exchange risk premium and policy uncertainty -- Treasury Inflation-Protected Securities -- Asset Pricing Models -- Conditional Asset Pricing -- Conditional Performance Evaluation -- Working Capital and Cash Flow -- Evaluating Fund Performance Within the Stochastic Discount Factor Framework -- Duration Concepts, Analysis, and Applications -- Loan Contract Terms -- Chinese A and B Shares -- Decimal Trading in the U.S. Stock Markets -- The 1997 NASDAQ Trading Rules -- Reincorporation -- Mean Variance Portfolio Allocation -- Online Trading -- A Critical Evaluation of the Portfolio Performance Indices Under Rank Transformation -- Corporate Failure: Definitions, Methods, and Failure Prediction Models -- Main Bank Relationships, Debt Structure, and Innovation in Japan -- Term Structure: Interest Rate Models -- Review of REIT and MBS -- Experimental Economics and the Theory of Finance -- Merger and Acquisition: Definitions, Motives, and Market Responses -- Multistage Compound Real Options: Theory and Application -- Market Efficiency Hypothesis -- The Microstructure/Micro-Finance Approach to Exchange Rates -- Arbitrage and Market Frictions -- Fundamental Tradeoffs in the Publicly Traded Corporation -- The Mexican Peso Crisis -- Methods for Portfolio Performance Evaluation -- Call Auction Trading -- Market Liquidity -- Market Makers -- Structure of Securities Markets -- Accounting Scandals and Implications for Directors: Lessons from Enron -- Agent-Based Models of Financial Markets -- The Asian Bond Market -- Cross-Border Mergers and Acquisitions -- Jump Diffusion Model -- Networks, Nodes, and Priority Rules -- The Momentum Trading Strategy -- Equilibrium Credit Rationing and Monetary Nonneutrality in a Small Open Economy -- Policy Coordination Between Wages and Exchange Rates in Singapore -- The Le Chatelier Principle of the Capital Market Equilibrium -- MBS Valuation and Prepayments -- The Impacts of IMF Bailouts in International Debt Crises -- Corporate Governance: Structure and Consequences -- A Survey Article on International Banking -- Hedge Funds: Overview, Strategies, and Trends -- An Appraisal of Modeling Dimensions for Performance Appraisal of Global Mutual Funds -- Structural Credit Risk Models: Endogenous Versus Exogenous Default -- Arbitrage Opportunity Set and the Role of Corporations -- Equity Premium Puzzle: The Distributional Approach -- Understanding Ginnie Mae Reverse Mortgage H-REMICs: Its Programs and Cashflow Analysis -- An Analysis of Risk Treatment in the Field of Finance -- The Trading Performance of Dynamic Hedging Models: Time Varying Covariance and Volatility Transmission Effects -- Portfolio Insurance Strategies -- Time-Series and Cross-Sectional Tests of Asset Pricing Models -- Unified Model Arbitrage-free Term Structure of Flow Risks -- A Comparison of Formulas to Compute Implied Standard Deviation -- Securities Transaction Taxes: Literature and Key Issues -- Financial Control and Transfer Pricing -- Alternative Models for Evaluating Convertible Bond: Review and Integration -- A Rationale for Hiring Irrationally Overconfident Managers -- The Statistical Distribution Method, the Decision-Tree Method and Simulation Method for Capital Budgeting Decisions -- Valuation of Interest Tax Shields -- Usefulness of Cash Flow Statements -- Do CEO Gender and Marital Status Affect Firm’s R&D and Value? An Empirical Analysis Using Nonlinear Models -- Three alternative methods for estimating hedge ratios -- Credit Risk Modeling: A General Framework -- Bankruptcy prediction studies across countries using Multiple Criteria Linear Programming (MCLP) data mining approaches -- Application of Difference-in-Differences Strategies in Finance: The Case of Natural Disasters and Bank Responses -- Financial Panel Data Models, Strict versus Contemporaneous Exogeneity, and Durbin-Wu-Hausman Specification Tests -- Accruals and the Asymmetric Timeliness of Earnings: a Decomposition Analysis -- Computer Technology for Financial Service -- Local Volatility Interest Rate Model -- Applications of logistic regression and hazard method in accounting and finance research -- Cube Root Utility Theory -- A Global Comparative Study of Impact Investments Research in Academic Institutions -- Financial Crisis, Capital Requirement and Stress Tests: Evidence from the Extreme Value and Stable Paretian Estimates -- The Economics of and Accounting for Lease Transactions -- Pension accounting, inside Debt, and capital structure -- The Role of Earnings Management in Equity Valuation -- The applications of machine learning in accounting and auditing research -- Internal capital budgeting and allocation in financial firms -- Job Security and CEO Compensation -- Tail-risk protection: Machine Learning meets modern Econometrics -- Structural Breaks in Financial Panel Data -- More on Equilibrium Credit Rationing and Interest Rates: A Theory with New Evidence -- The effect of Basel III on banks' lending -- Mortgage Analysis -- A History of Commercially Available Risk Models -- Short Selling Activity and Effects on Financial Markets and Corporate Decisions -- Simultaneous Equation Models for Financial Planning and Forecasting -- Alternative errors-in-variables models and their applications in finance research -- Optimal Payout Ratio under Uncertainty and the Flexibility Hypothesis: Theory and Empirical Evidence -- Mergers and Acquisitions: Principles and Practices -- Accrual Accounting and Risk: Abnormal Sales Growth and Accruals Quality and Returns -- Applications of Book-Tax Difference in Accounting and Finance Research -- Evaluating Portfolio Risk Management: A New Evidence from DCC Models and Wavelet Approach -- Cash Conversion Cycle and Corporate Performance: Global Evidence -- How Consistent are the Judges of Portfolio Performance? -- Entropy and the Value of Information for Investors -- A Fuzzy Real Option Valuation Approach To Capital Budgeting Under Uncertainty Environment.
    Abstract: The Encyclopedia of Finance comprehensively covers the broad spectrum of terms and topics relating finance from asset pricing models to option pricing models to risk management and beyond. This third edition is comprised of over 1,300 individual definitions, chapters, appendices and is the most comprehensive and up-to-date resource in the field, integrating the most current terminology, research, theory, and practical applications. It includes 200 new terms and essays; 25 new chapters and four new appendices. Showcasing contributions from an international array of experts, the revised edition of this major reference work is unparalleled in the breadth and depth of its coverage.
    Library Location Call Number Volume/Issue/Year Availability
    BibTip Others were also interested in ...
  • 17
    Online Resource
    Online Resource
    Cham : Springer International Publishing | Cham : Imprint: Springer
    ISBN: 9783031059292
    Language: English
    Pages: 1 Online-Ressource (XXI, 334 p. 62 illus. in color.)
    Edition: 2nd ed. 2022.
    Series Statement: Springer Texts in Business and Economics
    Series Statement: Springer eBook Collection
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    Parallel Title: Erscheint auch als
    RVK:
    Keywords: Umweltökonomik ; Umweltpolitik ; Theorie ; Welt ; Environmental economics. ; Equilibrium (Economics). ; Power resources. ; Economic policy. ; Climatology. ; Environmental policy ; Equilibrium analysis ; Climate change ; Overfishing ; International environmental problems ; Market economy ; Public goods ; Command-and-Control policy ; Price-Standard approach ; International environmental commodities ; Trade and the environment ; Basics of environmental economics ; Umweltökonomie
    Abstract: Introduction -- PART I THE ENVIRONMENTAL MOVEMENT -- Differing Views on the Environment -- The International Dimension of the Environment -- PART II THEORETICAL ENVIRONMENTAL ECONOMICS -- Basics of Environmental Economics -- Allocation Problems in a Market Economy -- The Internalization of External Effects -- Public Goods in Environmental Economics -- PART III ENVIRONMENTAL POLICY -- From Theory to Policy: Information Deficits -- Command-and-Control Policy -- The Price-Standard Approach to Environmental Policy -- International Environmental Commodities and the Principal-Agent-Approach -- Holistic Environmental Policies -- PART IV THE ENVIRONMENT IN THE GLOBALIZED WORLD -- Trade and the Environment: The Legal Context -- Overfishing -- Integration of Trade and the Environment.
    Abstract: Revised and updated for the 2nd edition, this textbook provides an analysis and investigation of the most essential areas of environmental economic theory and policy, including international environmental problems. The approach is based on standard theoretical tools, in particular equilibrium analysis, and aims to demonstrate how economic principles can help to understand environmental issues and guide policymakers. Current topics including climate change, overfishing and integrated approaches to environmental policies are carefully analyzed in this framework, and a multitude of practical examples from various parts of the world is presented. Addressing undergraduate and graduate students, this book is a must read for everybody interested in a better understanding of environmental economics. .
    Library Location Call Number Volume/Issue/Year Availability
    BibTip Others were also interested in ...
Close ⊗
This website uses cookies and the analysis tool Matomo. More information can be found here...