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Hardcover Money, Greed, and Risk: Why Financial Crises and Crashes Happen Book

ISBN: 0812931734

ISBN13: 9780812931730

Money, Greed, and Risk: Why Financial Crises and Crashes Happen

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Format: Hardcover

Condition: Very Good

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Book Overview

The world seems awash in financial crises. The Asian crisis of 1998, the near-demise of Long Term Capital Management, and the black hole of Russia are just a few of the most recent. Are they the result of greedy speculators, crony capitalism, or the warp speed of the forces of globalization? Can we send in the repairman and get things fixed through the legal and regulatory systems? Or are other causes at work that may be beyond our control? Money, Greed, and Risk is that rare book which, through adroit analysis of both historical and contemporary events and their leading players, lends new insights into the causes of financial turmoil.??Charles Morris: ??Explores the eternal cycle of financial crises: from brilliant innovation to gross excess and inevitable crash, before investors and institutions catch up. ??Explains why the American financial system grew from a capital-starved backwater in the nineteenth century to one that plays the leading role in the world today. ??Examines the technological, economic, demographic, and industrial experiences that caused the financial engine to kick into such high gear in the 1980s and 1990s. ??Shows how the boom-and-bust cycle in early American history helps illuminate recent events in South Asia and Russia. In the process we become more realistic about what to expect during the nascent stages of capitalism and market development everywhere. ??Explains that globalization is nothing new. The investment system in the nineteenth century was perhaps even more global than the world today. ??Looks at contemporary financial geniuses--Michael Milken is a good example--and shows that they didn't invent any financial instruments that nineteenth-century counterparts like Jay Gould hadn't already thought of. There are a handful of books about finance and the financial markets that are substantive enough to provide intellectual grist for sophisticated investors while also providing intriguing explanations of contemporary events that will be of interest to a general audience. Money, Greed, and Risk is one of them. Finance is the plumbing that makes capitalism run. And, like a good plumbing system, finance is invisible when working well. But just as a broken pipe can be a disaster, so too when the financial system breaks and crises and crashes occur. We look to understand the causes and Charles Morris provides unusual insights that bring our understanding to a new level. This description may be from another edition of this product.

Customer Reviews

4 customer ratings | 4 reviews

Rated 5 stars
CMO are not market neutral, CMOs markets are not liquid, and CMOs are a trillion dollar industry

1. Collaterized Mortgage Obligations grew to $1 trillion by 1993, 500 times the size of the Junk Bond melt down, valued at $22 billion and in 1994-96, the CMO market crashed. 2. The second most important financial instrument over the past half century has been the residential mortgage. In 1996, the outstanding value of residential mortgage was about $3.8 trillion. If fund manager fear getting stuck with illiquid investments,...

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Rated 4 stars
The "greatest hits" of financial choas

Mr. Morris book provides a very readable survey of financial crisis which occured during the last 150 years. The real value of this book lies Mr. Morris's commentary which draws into focus the fundamental similarities between seemingly unrelated financial disasters. It is banal to observe that the future is likely to include some as-yet unforseen financial meltdown. Armegeddon-peddlers, chicken-littlers, and perpetual bears...

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Rated 5 stars
The Wisdom of Historical Perspective on Today's Market

An excellent book for the serious investor who wants historical perspective on the market changes happening today. It's added gift is that it will imbue its reader with the knowledge to preserve wealth and actually profit whenever the next financial crisis comes, since the author proves that there is not much new in modern crises, and their prescriptions, that couldn't be found in crises a hundred years ago. The author...

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Rated 5 stars
A View of Morality & Changing Financial Markets

I found myself continuously amazed at the insights that Morris shows in his analysis of US financial markets and in their basic similarity over 150 years -- similar but more complex. I have been a student of financial markets for over forty years and I confess that I found insights being expanded consistently. As I read I kept thinking "What a great critical summary!"

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