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Never have financial markets been subjected to a period of change as rapid and extensive as took place from the 1970s onwards. Ranald C. Michie provides an authoritative account of this upheaval based on a careful reading of the
Financial Times over the last four decades.
List of contents
- 1: Introduction
- 2: Trends, Events, and Centres, 1970-1992
- 3: Banks, Brokers, Bonds, and Currencies, 1970-1992
- 4: Commodities and Derivatives, 1970-1992
- 5: Equities and Exchanges, 1970-1992
- 6: Regulation and Regulators, 1970-1992
- 7: Trends, Events, and Centres, 1993-2006
- 8: Banks and Brokers, 1993-2006
- 9: Bonds and Currencies, 1993-2006
- 10: Commodities and Derivatives, 1993-2006
- 11: Equities and Exchanges, 1993-2006
- 12: Regulation and Regulators, 1993-2006
- 13: Trends, Events, and Centres, 2007-2020
- 14: Global Financial Crisis: Causes, Course, and Consequences, 2007-2020
- 15: Banks and Brokers, 2007-2020
- 16: Bonds and Currencies, 2007-2020
About the author
Ranald C. Michie is one of the world's leading financial historians. He has written extensively on stock exchanges, securities markets, banking, and financial centres over many years, and is the author of several books including British Banking (Oxford 2016) and The Global Securities Market (Oxford 2006). He has taught at both Durham and Newcastle Universities and given papers to numerous academic gatherings around the world, including in Europe, North America, and Japan.
Summary
Never have financial markets been subjected to a period of change as rapid and extensive as took place from the 1970s onwards. Ranald C. Michie provides an authoritative account of this upheaval based on a careful reading of the Financial Times over the last four decades.