Palgrave Macmillan, 2016. — 352 p.
This book provides a thorough overview of the recent financial crisis from the perspective of both industry practitioners and academics specialising in the area.
A Retrospective on the Great Recession: Causes, Effects and Prospects
European Public Finances through the Crisis
ECB Monetary Policy and the Euro during the Crisis
The Repression of Financial Markets
Chasing the Tail of Financial Stability? Solutions to the Last Crisis Are the Seeds for the Next One
An Empirical Study on Greece’s Current Account Determinants Before and After the Outbreak of the Global Financial Crisis
Greek Fiscal Multipliers Revisited: Government Spending Cuts vs. Tax Hikes and the Role of Public Investment Expenditure
The Challenge of Restoring Debt Sustainability in a Deep Economic Recession: The Case of Greece.
The Case for a New Reprofiling of Greek Public Debt and Why a Relaxation of the Bailout Program’s Future Fiscal Targets May Prove to Be a Self-Financing Policy Shift
External Debt Evolution When Global Financial Markets Are Incomplete
Foreign Direct Investment, Innovation and Brain Drain in Greece: Turning a Problem into an Opportunity
Globalized Finance in Disarray
The Elephant in the Euro Room
From the Euro-Crisis to a New European Economic Architecture
Afterword: The Road Ahead