Yip P.S.-L. China's exchange rate system reform: lessons from its latest macroeconomic and financial experiences (Singapore; London, 2010). - ОГЛАВЛЕНИЕ / CONTENTS
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ОбложкаYip P.S.-L. China's exchange rate system reform: lessons from its latest macroeconomic and financial experiences. - Singapore; London: World Scientific, 2010. - xxxv, 402 p.: ill. - Ref.: p.391-393. - Ind.: p.395-402. - ISBN-10 981-4289-10-8; ISBN-13 978-981-4289-10-8
 

Оглавление / Contents
 
Brief Contents

Preface ....................................................... vii
About the Author .............................................. xxi
Acknowledgements ............................................. xxxv

Part I: China's Exchange Rate System Reform ..................... 1
Chapter 1  Macroeconomic Conditions and Debates Before the 
           Reform ............................................... 3
Chapter 2  Transitional and Medium-Term Designs of the Reform .. 17
Chapter 3  Supplementary Measures .............................. 31
Chapter 4  The Transitional Reform in 2005 ..................... 39
Chapter 5  Further Proposals on Supplementary Measures After 
           the Transitional Reform ............................. 71
Chapter 6  The Second-Stage Transitional Reform and Potential
           Choices on the Long-Term System .................... 123

Part II: Macroeconomic Policies, the Stock Market and the 
Property Market ............................................... 151
Chapter 7  China's Foreign Reserves, Trade Surplus,  Outward
           Investments and Overseas Assets .................... 153
Chapter 8  China's Stock Market Bubble and Lessons from the
           Bubble Squeezing Strategy .......................... 167
Chapter 9  China's Property Inflation I: Root Causes and 
           Consequences ....................................... 203
Chapter 10 China's Property Inflation II: Recommended 
           Solution ........................................... 239
Chapter 11 Fiscal and Monetary Policies During the Global
           Financial Tsunami .................................. 277
Chapter 12 Macroeconomic Outlook: Risk of Severe Asset
           and CPI Inflation, Exchange Rate Cycle and Then 
           a Crisis Outside the US After the Recovery ......... 331

References .................................................... 391
Index ......................................................... 395


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