Financial Systems, Central Banking and Monetary Policy During COVID-19 Pandemic and After

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Management number 201822771 Release Date 2025/10/08 List Price $15.96 Model Number 201822771
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The book investigates the future of the financial system after the COVID-19 pandemic, focusing on the effects of health issues and epidemic diseases on the banking sector, Central Banks, and the relations between the financial system and policy makers.

Format: Paperback / softback
Length: 226 pages
Publication date: 15 September 2023
Publisher: Lexington Books


The book delves into a comprehensive examination of the current and anticipated developments within the financial system, particularly in the aftermath of the COVID-19 pandemic. It explores the profound impact of health crises and epidemic diseases on the economies of various countries, with a focus on their potential implications for the banking sector, particularly Central Banking. By undertaking this work, readers will gain a multi-faceted perspective on money, banking, Central Banks, the historical evolution of the banking sector, and the intricate relationships between the financial system, policy makers, and their ongoing challenges.

The book begins by providing an overview of the global financial landscape, highlighting the significant challenges and disruptions caused by the pandemic. It then delves into the specific effects of health issues and epidemic diseases on the economies, emphasizing their potential long-term consequences for the banking sector. The authors analyze the various strategies employed by Central Banks to mitigate the economic impact of these crises, including monetary policy adjustments, liquidity provision, and regulatory interventions.

Furthermore, the book examines the historical transformation of the banking sector, including the emergence of new technologies, the rise of fintech companies, and the changing regulatory framework. It explores the impact of these developments on the efficiency, stability, and resilience of the financial system, as well as their potential implications for policy makers and regulators.

In addition to the theoretical analysis, the book includes case studies and real-world examples to illustrate the practical applications of the concepts discussed. These examples showcase the successes and failures of different countries in navigating the financial challenges posed by the pandemic, providing valuable insights for policymakers and practitioners alike.

Overall, the book offers a comprehensive and insightful exploration of the current and future developments within the financial system, particularly in the context of the COVID-19 pandemic. It provides valuable insights for scholars, researchers, policymakers, and practitioners interested in understanding the complex dynamics of the global financial landscape and developing effective strategies for resilience and growth.

Weight: 363g
Dimension: 230 x 154 x 14 (mm)
ISBN-13: 9781793645579


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