
The Post-Bubble US Economy
Implications for Financial Markets and the Economy
Palgrave Macmillan (Publisher)
Published on 7. September 2004
Book
Hardback
XXIV, 301 pages
978-1-4039-3649-3 (ISBN)
Description
The US is slowly recovering from the aftermath of the burst of the 'new economy' bubble - which was one of the worst in monetary history. Philip Arestis and Elias Karakitsos examine the causes and consequences of the burst of the 'new economy' bubble and investigate the impact on financial markets. The risks and long-term prospects for the economy and financial markets are also examined.
More details
Edition
2004 edition
Language
English
Place of publication
London
United Kingdom
Publishing group
Palgrave USA
Target group
Professional and scholarly
Product notice
sewn/stitched
Cloth over boards
With dust jacket
Illustrations
23 s/w Abbildungen
XXIV, 301 p. 23 illus.
Dimensions
Height: 196 mm
Width: 137 mm
Thickness: 22 mm
Weight
499 gr
ISBN-13
978-1-4039-3649-3 (9781403936493)
DOI
10.1057/9780230501058
Schweitzer Classification
Other editions
Additional editions

P. Arestis | E. Karakitsos
The Post-Bubble US Economy
Implications for Financial Markets and the Economy
E-Book
09/2004
Palgrave Macmillan
€96.29
Available for download

P. Arestis | E. Karakitsos
The Post-Bubble US Economy
Implications for Financial Markets and the Economy
Book
08/2004
Palgrave Macmillan
€106.99
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Persons
PHILIP ARESTIS is a Professor at the Cambridge Centre for Economic and Public Policy, University of Cambridge, and Senior Research Fellow at the Levy Institute, New York City. His publications include
Introducing Macroeconomic Modelling: An Econometric Study of the United Kingdom
and
Money, Pricing Distribution and Economic Integration
. He has been editor and joint editor, and has served on the editorial board, of a number of journals.
ELIAS KARAKITSOS is at Global Economic Research. He has previously acted as an economic and investment advisor to many institutional investors, including Citibank/Citicorp, Oppenheimer, Allianz, Nestle and Abbey National.
ELIAS KARAKITSOS is at Global Economic Research. He has previously acted as an economic and investment advisor to many institutional investors, including Citibank/Citicorp, Oppenheimer, Allianz, Nestle and Abbey National.
Content
Introduction Sector Imbalances and Long-term Consequences The Role of Fiscal and Monetary Policy Under Sector Imbalances Asset Prices under Current Circumstances For How Long Can the US Consumer Remain Resilient? Can the Investor do the Trick? Can the Recovery become Sustainable? Summary and Conclusions