Overview
- Examines the financial and economic infrastructure in Mauritius thoroughly
- Builds upon the author’s lifetime of experience as an academic and practitioner within the Mauritian economy
- Features an adoptable financial stability model
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Table of contents (17 chapters)
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An Overview of the Mauritian Economy
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The Mauritian Banking Sector
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The Stock Market in Mauritius
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Monetary Policy in Mauritius
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The Business Sector and Its Financing Structure in Mauritius
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Hedging in Mauritius
Keywords
About this book
This book offers a comprehensive assessment of the Mauritian economy and its financial system. The author investigates the pre- and post- crisis financial and economic environment of Mauritius thoroughly and looks to the future potential development of the economy. Chapters feature in-depth analysis of such aspects as the banking sector, the stock market, monetary policy, capital structure, the hedging practices of Mauritian firms, and the housing market in Mauritius, among others. Moreover, the author not only builds a credit risk model for Mauritian bankers, but also develops a financial stability model to provide the reader with a full account of the Mauritian economy. The author ends with a chapter dedicated to a 2030 vision for Mauritius. This book will be of interest to researchers, students, policy-makers, central bankers and economists who wish to explore an example of an upper-income developing economy in depth.
Authors and Affiliations
About the author
Dr Indranarain Ramlall is a Senior Lecturer at the University of Mauritius. Prior to joining the University, he was a Credit Corporate Officer at the State Bank of India (Mauritius), and then a Fund Manager at Anglo-Mauritius Financial Services Limited. Dr Indranarain Ramlall previously worked within the Financial Markets Division and the Financial Stability Unit at the Bank of Mauritius (The Central Bank of Mauritius). At this time, he also served as a member of the Joint Working Group Committee on Debt Management and the Sub-Committee on Treasury Bill Allocation. He has participated actively in various international scientific conferences. His research interests include financial stability, central banking, risk management, investment analysis, econometric modelling and the economics of climate change.
Bibliographic Information
Book Title: Economics and Finance in Mauritius
Book Subtitle: A Modern Perspective
Authors: Indranarain Ramlall
DOI: https://doi.org/10.1007/978-3-319-39435-0
Publisher: Palgrave Macmillan Cham
eBook Packages: Economics and Finance, Economics and Finance (R0)
Copyright Information: The Editor(s) (if applicable) and The Author(s) 2017
Hardcover ISBN: 978-3-319-39434-3Published: 06 February 2017
Softcover ISBN: 978-3-319-81885-6Published: 17 July 2018
eBook ISBN: 978-3-319-39435-0Published: 20 January 2017
Edition Number: 1
Number of Pages: XXII, 468
Number of Illustrations: 1 b/w illustrations, 70 illustrations in colour
Topics: Banking, Capital Markets, Macroeconomics/Monetary Economics//Financial Economics, Economy-wide Country Studies, Political Economy/Economic Systems