Evidence from the Financial Sector
Buch, Englisch, 135 Seiten, Format (B × H): 148 mm x 210 mm, Gewicht: 2989 g
ISBN: 978-3-319-67752-1
Verlag: Palgrave Pivot
With substantial risks arising from resource constraints on global growth, serious questions are being posed about how a scarcity of finite resources may impact global social and political fragility. The research which forms the core of this book focuses on how this scarcity will impact the financial sector, especially through insurance, pension and banking activities. The UK finance sector, which is considered to be amongst the most globalised, is placed under the microscope, and its approaches to food and oil are particularly noteworthy. Interviews with senior financial experts are analysed alongside more traditional quantitative economic analysis to explore potential future impacts, the scope of natural resource constraints and their impact on the economy.
Zielgruppe
Research
Autoren/Hrsg.
Fachgebiete
- Geowissenschaften Umweltwissenschaften Umweltmanagement, Umweltökonomie
- Wirtschaftswissenschaften Finanzsektor & Finanzdienstleistungen Finanzsektor & Finanzdienstleistungen: Allgemeines
- Wirtschaftswissenschaften Volkswirtschaftslehre Umweltökonomie
- Wirtschaftswissenschaften Volkswirtschaftslehre Volkswirtschaftslehre Allgemein Wirtschaftswachstum
Weitere Infos & Material
Chapter 1. Introduction
Chapter 2. Economics and Natural Resource Constraints
2.1 Theories on Natural Resource Scarcity
2.2 Theories on Economic Growth
2.3 Natural Resources and Economic Growth
Chapter 3. Finance and Natural Resource Constraints
3.1 The UK Economy and Finance Sector
3.2 Financial System Regulation
3.3 Insurance
3.4 Pensions
3.5 Banking
;Chapter 4. Exploring the validity of literature
>4.1 Natural Resource Scarcity4.2 Measurement of Natural Resource Scarcity
4.3 Effects of Resource Scarcity on the Economy
4.4 Effect of Resource Scarcity on the Finance Sector
4.5 The Part of Finance Sector Most Vulnerable to Resource Scarcity
4.6 Systemic Risks
4.7 Resource with Highest Potential of Effects
4.8 Politics Versus Natural Resource Scarcity
4.9 Financial Regulation’s Role
4.10 Legislation Versus Financial Regulation in Resource Risk
s4.11 Summary of Qualitative Findings
Chapter 5. Conclusions
5.1 Systemic Risks in the Finance Sector
5.
2 Financial Regulations5.3 Recommendations
Bibliography
Index




