The Dynamics of Global Financial Markets

Risk, Regulation, and Innovation

The Dynamics of Global Financial Markets: Risks, Regulation, and Innovation provides a timely and comprehensive overview of the modern financial system amid rising uncertainty and rapid change. It explores how global markets are influenced by systemic risks, regulatory developments, geopolitical tensions, climate-related pressures, and technological advancements.

The book explores the institutional foundations of financial markets, the roles of central banks and international organisations, the transmission of geopolitical and climate-related shocks, and the transformative influence of digital assets, blockchain, artificial intelligence, and fintech. By incorporating historical perspectives, analytical discourse, and policy relevance, it shows how financial markets serve as sources of opportunity, vulnerability, and strategic adaptation.

This book will be essential reading for academics, advanced students, policymakers, regulators, and practitioners in finance, economics, and public policy. It provides readers with a structured and globally informed understanding of the major trends shaping modern finance, while offering insights into the regulatory, institutional, and strategic challenges that will influence its future.

September 2026, ca. 192 Seiten, Banking, Money and International Finance, Englisch
Taylor and Francis
978-1-041-25363-1

Weitere Titel der Reihe: Banking, Money and International Finance

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