Governing Risk: The IMF and Global Financial Crises

Paperback | April 9, 2010

byM. Moschella

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By comparing the policies the international community requested the IMF to follow in the aftermath of the Mexican, Asian and subprime crises, the book traces the evolution of the international regulatory framework from an agent-centered constructivist perspective.

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By comparing the policies the international community requested the IMF to follow in the aftermath of the Mexican, Asian and subprime crises, the book traces the evolution of the international regulatory framework from an agent-centered constructivist perspective.

Manuela Moschella is Assistant Professor in Political Science at the University of Turin and 'Nino Andreatta Fellow' at the University of Bologna, Italy. Her core research interests include the politics of change in international financial organizations and reforms to the international financial regulatory architecture.

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Format:PaperbackDimensions:232 pages, 8.5 × 5.51 × 0.02 inPublished:April 9, 2010Publisher:Palgrave Macmillan UKLanguage:English

The following ISBNs are associated with this title:

ISBN - 10:023036795X

ISBN - 13:9780230367951

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Table of Contents

Introduction: The IMF and Global Finance Governance
Evolutionary Policies: Economic Ideas and Legitimacy Feedback
The 1990s Consensus on International Financial Integration
The Mexican Crisis: Testing the Consensus
The Asian Crisis: Questioning the Consensus
The Subprime Crisis: Towards a New Consensus
Conclusions: Past and Future of International Financial Governance