How to fix crisis management in the Eurozone: Stefano Micossi, 5 September 2011
With Europe’s financial markets appearing to have calmed, this column takes stock of what we have learned from the Eurozone crisis and the policy responses. It discusses how Europe can put in place policies to reduce the chances of such a crisis repeating itself. By strengthening the Eurozone’s ability to withstand speculative attacks, it argues that policymakers would make them much less likely.
Full Article: How to fix crisis management in the Eurozone
With Europe’s financial markets appearing to have calmed, this column takes stock of what we have learned from the Eurozone crisis and the policy responses. It discusses how Europe can put in place policies to reduce the chances of such a crisis repeating itself. By strengthening the Eurozone’s ability to withstand speculative attacks, it argues that policymakers would make them much less likely.
Full Article: How to fix crisis management in the Eurozone
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