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     <title><![CDATA[Ernakulam Public Library Search for 'su:&quot;Macroeconomics and related topics &quot;']]></title>
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       <title>
    INDIA'S FINANCE MINISTERS 


    : Different Strokes (1998-2014) Volume 3





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       <dc:identifier>ISBN:9780143475286</dc:identifier>
        <link>/cgi-bin/koha/opac-detail.pl?biblionumber=196606</link>
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	   <p>By Bhattacharya A. K. 
	   Haryana Penguin Business 2025
                        
                        , This is the third volume in the series of books on India’s finance ministers, which capture the story of India’s economic policies through the lens of the Union government’s budget initiatives since 1947.

The first volume covered the period of thirty years from India’s Independence to the end of the Emergency in 1977. The second volume covered the twenty-one years from the formation of the first non-Congress government in India in 1977 to 1998, when the short tenure of the coalition government led by United Front ended. The present volume covers a period of sixteen years that saw just four finance ministers present Union budgets and steer their respective government’s economic policies through them.

A fascinating account of economic policymaking, the book analyses the role of India’s finance ministers in the management of the Indian economy during the era of coalition politics. It also highlights the significant difference these ministers made to the policy evolution of the government and, thus, left an indelible mark on the psyche of Indian citizens. It attempts to measure the impact of their decisions not only on India’s economic system but also on its political system, and to what extent their decisions were influenced by their socio-economic backgrounds. Foregrounded in rigorous research and full of interesting anecdotes, the book is the first in-depth account of the crucial role the finance minister plays in the functioning of India’s economy.
                        
                         9780143475286
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       <title>
    SYSTEMIC RISK AND MACROPRUDENTIAL REGULATIONS 


    : Global Financial Crisis and Thereafter





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       <dc:identifier>ISBN:9789353285425</dc:identifier>
        <link>/cgi-bin/koha/opac-detail.pl?biblionumber=196968</link>
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	   <p>By Rabi N Mishra. 
	   New Delhi Sage 2019
                        
                        , 

The Global Financial Crisis is undoubtedly the most severe financial crisis the world witnessed since the Great Depression of 1929. The crisis has been analysed by a number of experts offering distinct narratives and counter-narratives.

Systemic Risk and Macroprudential Regulations examines causes and consequences of the global financial crisis and proposes a regulatory reforms policy―macroprudential regulations. The book emphasizes ‘systemic risk’ as the new-found villain of the financial space and narrates how such risk can be addressed through macroprudential tools. It, thus, offers a possible solution to avoid financial crises in future and facilitates building a safer financial system globally. The book also examines major crisis management frameworks, stress testing, relevant regulatory and supervisory development, and early warning mechanism with detailed cross-country analysis.

                        
                         9789353285425
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