Machine generated contents note:
PART I: GENESIS OF THE CRISIS, USE AND ABUSE OF ECONOMIC POLICIES
1. The Euro Zone Sovereign Debt Crisis (The genesis of the crisis?); Philippe D'Arvisenet
2. The Trade-Off between Fiscal and Competiveness Adjustments; Daniel Gros with Cinzia Alcidi
3. Ireland and Greece: A Tale of Two Fiscal Adjustments; Jeffrey D. Anderson and Jessica Stallings
4. Rating Agencies vs. Sovereign Debt Markets: A Tale of Interacting Risk Preferences; George Christodoulakis
5. The 2012 Greek Debt Restructuring and its Aftermath; Miranda Xafa
6. Economic Theories that Influenced the Judges of Karlsruhe; Paul De Grauwe
7. Privatization of State Assets in the Presence of Crisis; George Christodoulakis
PART II: CRISIS RESOLUTION, PROSPECT AND RETROSPECT
8. How to Manage Public Debts in the Euro Area?; Catherine Mathieu and Henri Sterdyniak
9. A Transfer Mechanism as a Stabilization Tool in the EMU; Kerstin Bernoth and Philipp Engler
10. Sovereign Debt and its Restructuring Framework in the Eurozone; Ashoka Mody
11. Funding Risks for Corporates in the Periphery: Disintermediation to the Rescue for the Larger Ones, Challenges for the Others; Blaise Ganguin
12. On Solving Europe's Financial Issues to Promote Sustainable Growth; Adrian Blundell-Wignall and Caroline Roulet
13. European Banking Union as a Response to the Fragmentation of the Internal Market Resulting from the Financial and Sovereign Debt Crisis; Dimitris Tsibanoulis with Gerry Kounadis.
Managing risks in the European periphery debt crisis : lessons from the trade-off between economics, politics and the financial markets. ISBN 9781137304940. Published by Palgrave Macmillan in 2015. Publication and catalogue information, links to buy online and reader comments.