Governance and the Hegemony of Financial Stability: From Financial Crisis to Climate Emergency explains how the handling of the Global Financial Crisis has redefined the relations of politics and financial markets and how the then established hegemony of financial stability still dominates today's responses to today's challenges, particularly climate change.
The book argues that within the years of crisis management a hegemony of financial governance evolved that accepts the financial system as being intrinsically crisis-laden and potentially disastrous for broader notions of welfare and social security. The book traces how this framework redefined state-market relations, expanded technocratic authority, and extended into new domains, including climate policy, where climate risks are reframed as threats to financial stability. By analysing the work of a transnational epistemic community of central bankers, regulators, and financial stability experts, it analyses how post-crisis governance operates through risk management, surveillance, and resilience-building. It captures how political and financial rationalities co-evolved towards a hegemony that seeks to contain crises without addressing their root causes and thus prevents more transformative changes
The book will appeal to scholars of political science, economic sociology, international relations, international political economy, as well as security, finance, and economics.
Les informations fournies dans la section « Synopsis » peuvent faire référence à une autre édition de ce titre.
Carola Westermeier leads the Research Group on Technology and Sovereignty at the Max Planck Institute for the Study of Societies, Cologne, Germany. Her research is located at the intersections of economic sociology, security studies, and international political economy.Carola Westermeier is a Lecturer and Researcher at the Institute of Sociology at Justus Liebig University Giessen, Germany, and co-leader of the research project Financial Infrastructures and Geoeconomic Security at the Collaborative Research Centre 138 Dynamics of Security.
Les informations fournies dans la section « A propos du livre » peuvent faire référence à une autre édition de ce titre.
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Hardcover. Etat : new. Hardcover. Governance and the Hegemony of Financial Stability: From Financial Crisis to Climate Emergency explains how the handling of the global financial crisis has redefined the relations of politics and financial markets and how the then established hegemony of financial stability still dominates responses to current challenges, particularly climate change.The book argues that within the years of crisis management a hegemony of financial governance evolved that accepts the financial system as being intrinsically crisis-laden and potentially disastrous for broader notions of welfare and social security. The book traces how this framework redefined statemarket relations, expanded technocratic authority, and extended into new domains, including climate policy, where climate risks are reframed as threats to financial stability. By analysing the work of a transnational epistemic community of central bankers, regulators, and financial stability experts, it analyses how post-crisis governance operates through risk management, surveillance, and resilience-building. It captures how political and financial rationalities co-evolved towards a hegemony that seeks to contain crises without addressing their root causes and thus prevents more transformative changesThe book will appeal to scholars of political science, economic sociology, international relations, international political economy, as well as security, finance, and economics. The book explains how the handling of the Global Financial Crisis has redefined the relations of politics and financial markets and how the then established hegemony of financial stability still dominates todays responses to todays challenges, particularly climate change. This item is printed on demand. Shipping may be from multiple locations in the US or from the UK, depending on stock availability. N° de réf. du vendeur 9781032822983
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Hardcover. Etat : new. Hardcover. Governance and the Hegemony of Financial Stability: From Financial Crisis to Climate Emergency explains how the handling of the global financial crisis has redefined the relations of politics and financial markets and how the then established hegemony of financial stability still dominates responses to current challenges, particularly climate change.The book argues that within the years of crisis management a hegemony of financial governance evolved that accepts the financial system as being intrinsically crisis-laden and potentially disastrous for broader notions of welfare and social security. The book traces how this framework redefined statemarket relations, expanded technocratic authority, and extended into new domains, including climate policy, where climate risks are reframed as threats to financial stability. By analysing the work of a transnational epistemic community of central bankers, regulators, and financial stability experts, it analyses how post-crisis governance operates through risk management, surveillance, and resilience-building. It captures how political and financial rationalities co-evolved towards a hegemony that seeks to contain crises without addressing their root causes and thus prevents more transformative changesThe book will appeal to scholars of political science, economic sociology, international relations, international political economy, as well as security, finance, and economics. The book explains how the handling of the Global Financial Crisis has redefined the relations of politics and financial markets and how the then established hegemony of financial stability still dominates todays responses to todays challenges, particularly climate change. This item is printed on demand. Shipping may be from our UK warehouse or from our Australian or US warehouses, depending on stock availability. N° de réf. du vendeur 9781032822983
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