by M . H . Wolfson (Author)
A survey and critique of the major theories of financial crises. This second edition covers the period from 1985 and the stock market crash of 1987, the collapse of the S&L industry, the severe problems of US commercial banks, and the increasing risks posed by junk bonds.
Format: Paperback
Pages: 267
Edition: New ed of 2 Revised ed
Publisher: M.E. Sharpe
Published: 30 Nov 1994
ISBN 10: 0873327500
ISBN 13: 9780873327503