책 이미지
책 정보
· 분류 : 외국도서 > 경제경영 > 국제경제 > 경제학이론
· ISBN : 9780415136457
· 쪽수 : 270쪽
· 출판일 : 1996-10-10
목차
Preface Andr Icard Introduction Michel Boutillier and Jean Cordier 1. The High and Low-Risk Asset Demand of French Households: A Multivariate Analysis Jrome Henry and Mariell Phlipot 2. Investment Choices of Insurance Companies: An Econometric Evaluation Roland Ricart 3. Risk Management by Credit Institutions: Macroeconomic Modelling Attempts Jean Cordier, Pascal Jacquinot and Dominique Plihon 4. The Role of Macroeconomic Factors in French Direct Investment Abroad Between 1979 and 1989: An Econometric Assessment Jrome Henry 5. French Economic Competitiveness and External Constraints Michel Aglietta and Camille Baulant 6. An Analysis of Uncovered Interest Parity in a System of Three Eurorates Jrome Henry and Jens Weidmann 7. One Look at the Way the French Financial System has Adapted to the New Monetary Policy Regime Michel Boutillier and Jean Cordier 8. How Changes in the Financial Sphere Affect the Internal Structure of a Financial Model Michel Boutillier and Pascal Jacquinot.














