World Money & Other Articles
World Money & other Articles is a collection of essays on a wide range of economic and financial topics, written by A.V. Rajwade, one of India’s leading economists. The book covers everything from political economy to risk management and is an essential resource for anyone who wants to understand the global economy.
Contents
● Political Economy: Gain an understanding of the different ways that governments can influence economic development, the importance of free markets, and the potential dangers of socialism.
● India-Economic Policies: Learn about the need for economic reforms in India, the challenges posed by inflation, and the importance of infrastructure development.
● India-Monetary Policy: Know about the role of the central bank in India, the importance of price stability, and the challenges of monetary policy.
● India-Banking and Debt Markets: Understand the importance of a healthy banking system in India, the need for financial reforms, and the challenges faced by the debt market.
● India-External Sector: Get an understanding of the importance of foreign trade and investment in India, the challenges posed by the current account deficit, and the role of the Rupee.
● India and China: Learn about the growing economic rivalry between India and China, the need for cooperation between the two countries, and the challenges that lie ahead.
● BoP Crisis: Know the causes and impacts of balance of payments crises, as well as strategies for preventing them.
● Multilateral Institutions: Understand about the role of multilateral institutions in the
global economy, such as the World Trade Organization and the International Monetary Fund.
● Financial Markets: Get a comprehensive understanding of the importance of financial markets, the different types of financial markets, and the regulations that govern them.
● Risk Management: Learn about the importance of risk management, the different types of risk, and strategies for managing risk effectively.
● Financial Markets Scandals: Gain insights into the causes and impacts of financial markets scandals, as well as strategies for preventing them.