书名: A Financial History of the United States
作者: Jerry W. Markham (Author)
出版社: M.E. Sharpe (December 2001)
语言:English
ISBN-10: 0765607301
ISBN-13: 978-0765607300
Book Description
The first comprehensive financial history of the United States in more than thirty years. Accessible to undergraduate level readers, it focuses on the growth and expansion of banking, securities, and insurance from the colonial period right up to the incredible growth of the stock market during the 1990s and the attack on the World Trade Center in 2001. The author traces the origins of American finance to the older societies of Europe and Northern Africa, and shows how English merchants transferred their financial systems to America. He explains how financial matters dominated the founding and development of the colonies, and how financial concerns incited the Revolution. And he shows how the Civil War began the transformation of America from a small economy largely dependent on foreign capital into a complex capitalist society. From the Civil War, the nation's financial history breaks down into periods of frenzied speculation, quiet growth, periodic panics, and furious periods of expansion, right up through the incredible growth of the stock market during the 1990s.
From Library Journal
Markham (law, Univ. of North Carolina), who has an extensive background in financial regulation, makes a significant contribution with this first comprehensive financial history since Margaret Good Myers's classic A Financial History of the United States was published in 1970. Volume 1, 1492-1900, discusses the financial roots of America's European discovery and colonization, the financial exploitation that led to the American Revolution, the conflicts of interest that slowed the development of America's financial institutions, the Buttonwood agreement, the Civil War, the robber barons, the periodic panics that undermined expansion, and the investment bankers who began consolidating American industry around the turn of the century. Volume 2, 1900-1970, covers the creation of the Federal Reserve, World War I, the Roaring Twenties and stock market crash, the Great Depression, World War II, Bretton Woods, Vietnam, and the emergence of the institutional investor. Volume 3, 1970-2001, begins by describing the financial turmoil that undermined the system, the rise of derivatives, the stock market crash of 1987, the roaring Nineties and rise of the Internet, the consolidation of international finance, and the impact of the September 11, 2001, terrorist attacks. Each volume includes a list of illustrations, a selected bibliography, and name and subject indexes, with Volume 3 also providing cumulative indexes. This set is noteworthy because of its accessible reading style and easy-to-use format. Its one drawback is the lack of Internet references. Recommended for all academic, business, law, and larger public libraries. Norm Hutcherson, California State Univ., Bakersfield
Copyright 2002 Cahners Business Information, Inc.
Library Journal, 6/15/02
"This set is noteworthy because of its accessible reading style and easy-to-use format. Recommended."
Choice Magazine, 9/2002
...students of American history...will find these volumes a useful reference guide. Highly recommended for academic collections.