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Technology and Financial Crisis

Book Description

Rapid improvements and constant advancements in information technology have inevitably lead to significant changes for businesses across the globe. As a result, some of these large shifts have unfortunately ended in major financial crises. Technology and Financial Crisis: Economical and Analytical Views investigates financial crises from unique points of view. Not only does this publication consider the broader economical implications that a financial crisis can have on one business or on a whole country, but it also thoroughly discusses the smaller areas which are affected or contribute to the downfall. This book is intended to be of use to the public sector, researchers, practitioners, and educators who are interested in the affects of a financial crises and possible ways to reduce such large scale problems in the future.

Table of Contents

  1. Cover
  2. Title Page
  3. Copyright Page
  4. Book Series
  5. Editorial Advisory Board and List of Reviewers
    1. Editorial Advisory Board
  6. Foreword
  7. Preface
  8. Acknowledgment
  9. Section 1: Multidimensional Overview of the Financial Crisis
    1. Chapter 1: 2008 – 2011 World Economic Crisis, New Paradigms, Science Methodology, Information Systems, and Decision Systems
      1. ABSTRACT
      2. 2008 – 2011 WORLD ECONOMIC CRISIS
      3. WORLD DYNAMICS AND NEW PARADIGMS
      4. SCIENCE METHODOLOGY
      5. INFORMATION SYSTEMS
      6. DECISION SYSTEMS
      7. CONCLUSION
    2. Chapter 2: Dynamics of Globalization
      1. ABSTRACT
      2. THE RISE OF A NEW WORLD ORDER
      3. THE IMPACT ON WORLD FINANCIAL MARKETS
    3. Chapter 3: Financial Crisis Reveals Systemic Crisis of Official Statistics
      1. ABSTRACT
      2. INTRODUCTION
      3. SYSTEMIC CRISIS OF NATIONAL ACCOUNTS AND ITS DATABASE
      4. FAILING REPORTS ON ECONOMIC GROWTH DURING 2008 – 2011
      5. WEAKNESS OF NATIONAL ACCOUNTS FRAMEWORK TO PROVIDE POLITICALLY RELEVANT PICTURES OF THE ECONOMY
      6. “BUBBLE ECONOMY” AS A RESULT OF THE ONE-SIDED MONETARY VIEW
      7. NEGLECTING THE ENTERPRISES: A RELIC OF CENTRALLY PLANNED ECONOMIES
      8. POOR INFORMATION ON OBJECTIVE INDICATORS NATIONAL ASSETS, PRIVATE, AND PUBLIC PROPERTY
      9. “TOXIC INFECTIONS” AT DATA BASES BY “FALSE RESPONSE,” “SHADOW ECONOMY,” AND THE IMPACT OF “HIDDEN MONEY”
      10. CRUCIAL ROLE OF ECB AND COMMERCIAL BANKS CREATING MONEY
      11. FUTURE RESEARCH DIRECTIONS
      12. CONCLUSION
    4. Chapter 4: World Energy Outlook and Impact of Oil Prices on Financial Crisis
      1. ABSTRACT
      2. INTRODUCTION
      3. THE RELATIONSHIP BETWEEN WORLD POPULATION AND ENERGY DEMAND
      4. FUTURE ENERGY RESOURCES
      5. MONETARY ASPECT
      6. CONCLUSION
    5. Chapter 5: The Economic Crisis
      1. ABSTRACT
      2. INTRODUCTION: HOW IT ALL BEGAN
      3. PHASE 1: CREDIT CRISIS IN THE MORTGAGE MARKETS
      4. PHASE 2: THE CRISIS SPREADS – LIQUIDITY RISK
      5. PHASE 3: THE LEHMAN FAILURE
      6. THE SYSTEMIC IMBALANCE
      7. CONCLUSION AND FUTURE RESEARCH DIRECTIONS
    6. Chapter 6: The Effect of Crises on Leadership
      1. ABSTRACT
      2. INTRODUCTION: CRISIS, EXTRAORDINARY TIME FOR MANAGEMENT
      3. BACKGROUND
      4. MAIN FOCUS OF THE CHAPTER
      5. SOLUTIONS AND RECOMMENDATIONS
      6. FUTURE RESEARCH DIRECTIONS: REFLECTION ON THE NEW LEADERSHIP QUALITIES
      7. CONCLUSION
    7. Chapter 7: Crisis Management in the Public Sector
      1. ABSTRACT
      2. CRISIS, NEW PUBLIC MANAGEMENT, AND THE SYSTEMS THINKING
      3. RELATIONSHIP BETWEEN “SYSTEMS THINKING” AND “NEW PUBLIC MANAGEMENT” IN THE CONTEXT OF CRISIS MANAGEMENT
      4. DISCUSSION
    8. Chapter 8: Historically Reading the Concept of Gender by the Dilemma of Heterodox-Orthodox Vision
      1. ABSTRACT
      2. INTRODUCTION
      3. GLANCING AT GENDER AND FEMINIST ECONOMICS
      4. CONCLUSION
    9. Chapter 9: Major Factors Instigating Engineers to Shift their Career from Engineering to Management
      1. ABSTRACT
      2. INTRODUCTION
      3. PURPOSE
      4. ORIGINALITY/VALUE OF CHAPTER
      5. LITERATURE REVIEW
      6. METHODOLOGY
      7. RESULTS AND DISCUSSION
      8. CONCLUSION
      9. FUTURE RESEARCH DIRECTIONS
  10. Section 2: Economic Views of the Financial Crisis
    1. Chapter 10: Role of Accounting and Audit in the Recent Financial Crisis
      1. ABSTRACT
      2. INTRODUCTION
      3. BACKGROUND
      4. ACCOUNTING, AUDIT AND THE RECENT FINANCIAL CRISIS
      5. CONCLUSION
    2. Chapter 11: Legal Effect of Economic Turmoil
      1. ABSTRACT
      2. INTRODUCTION
      3. RESEARCH METHODOLOGY
      4. TECHNICAL INSOLVENCY STATUS
      5. SOLVING THE TECHNICAL INSOLVENCY PROBLEM
      6. NEW COMMERCIAL CODE IN TURKEY
      7. CONCLUSION
    3. Chapter 12: Analysis of the Analytical Balance Sheet of Central Bank of Republic of Turkey During 2000 - 2009 Period in terms of Crises
      1. ABSTRACT
      2. INTRODUCTION
      3. ANALYTICAL BALANCE SHEET OF THE CBRT
      4. A BRIEF OVERVIEW OF THE CRISES DURING 2000-2009 PERIOD
      5. ANALYSIS OF THE ANALYTICAL BALANCE SHEET OF CBRT DURING 2000 - 2009 PERIOD
      6. CONCLUSION
    4. Chapter 13: Financial Marriage of Convenience between China and the US
      1. ABSTRACT
      2. INTRODUCTION
      3. BACKGROUND
      4. THE RISE AND THE FALL OF THE US DOLLAR
      5. CHINA’S QUEST FOR ECONOMIC DEVELOPMENT AND THE CONSEQUENCES OF 2008 CRISIS
      6. LIMITS OF WEALTH ACCUMULATION (WHEN) DECOUPLED FROM INTERNATIONAL DEMAND
      7. FUTURE: QUO VADIS?
      8. CONCLUSION
    5. Chapter 14: Are the Banks in India Comfortable on the Eve of Basel III?
      1. ABSTRACT
      2. BACKGROUND
      3. MAIN FOCUS OF THE CHAPTER
      4. SOLUTIONS AND RECOMMENDATIONS
      5. FUTURE RESEARCH DIRECTIONS
      6. CONCLUSION
    6. Chapter 15: General Outlook on Financial Structure and Capital Adequacy of ISE-30 Companies during Economic Crisis (2008-2009)
      1. ABSTRACT
      2. INTRODUCTION
      3. 1. RESEARCH METHODOLOGY
      4. 2. PERSPECTIVE OF TURKEY
      5. 3. MAJOR OUTCOMES OF SURVEY
      6. CONCLUSION
  11. Section 3: Analytical Views of the Financial Crisis
    1. Chapter 16: After 2008 Global Financial Crisis, Short-Term Dynamics of CDS, Bond, and Stock Markets in South Eastern European Economies
      1. ABSTRACT
      2. INTRODUCTION
      3. CREDIT DEFAULT SWAP SPREADS AND SOVEREIGN BOND
      4. METHODOLOGY
      5. EMPIRICAL RESULT
      6. CONCLUSION AND FUTURE RESEARCH
    2. Chapter 17: The Effect of Index Warrant Trading on the Underlying Volatility in the Post-Crisis Period
      1. ABSTRACT
      2. INTRODUCTION
      3. BACKGROUND
      4. METHODOLOGY
      5. CONCLUSION
    3. Chapter 18: The Impact of Crises
      1. ABSTRACT
      2. INTRODUCTION
      3. LITERATURE REVIEW
      4. METHODOLOGY
      5. RESULTS
      6. CONCLUSION
    4. Chapter 19: Crisis Effects on the Capital Structure Determinants for Manufacturing Companies
      1. ABSTRACT
      2. INTRODUCTION
      3. LITERATURE
      4. METODOLOGY
      5. CONCLUSION
    5. Chapter 20: Evaluation of the Export Efficiency of the Turkish Ceramic Industry during the Global Crisis using Data Envelopment Analysis (DEA) Method
      1. ABSTRACT
      2. INTRODUCTION
      3. LITERATURE REVIEW
      4. METHODOLOGY
      5. CONCLUSION AND RECOMMENDATIONS
    6. Chapter 21: The Reflections of the Recent Global Economic Crisis on the Turkish Tourism Sector
      1. ABSTRACT
      2. INTRODUCTION
      3. BACKGROUND
      4. MAIN FOCUS OF THE CHAPTER
      5. FUTURE RESEARCH DIRECTION
      6. CONCLUSION
  12. Compilation of References
  13. About the Contributors