Langbeschreibung
This volume examines different facets of international capital movements - the role of openness, the implications of large inflows of foreign capital and the impact of regulatory frameworks - from the point of view of the global South.
Inhaltsverzeichnis
Introduction; How Financial Liberalisation Led in the 1990s to Three Different Cycles of 'Manias, Panic and Crashes' in Middle Income Countries; Timing the Mexican 1994-95 Financial Crisis Using a Markov Switching Approach; Exchange Rate, Inflation and Growth; Alternative Measures of Currency Substitution in Turkey; Competitive Diversification in Resource Abundant Countrie; Foreign Portfolio Investment in India; Transnational Corporations and the Internationalisation of Research and Development Activities in Developing Countries; External Debt Nationalization a Major Tendency on Brazilian External Debt in the Twentieth Century; Prudential Regulations and Safety Nets; Understanding New Threats to Development in Comparative Regional Perspectives