Originally published in 1987, The Financial Markets of the Arabian Gulf looks at the importance of finance and the flow of funds to the development of the countries in the Arabian Gulf. Examining in detail the financial markets of Kuwait, Saudi Arabia and Bahrain, the book looks at how each of these markets has developed differently because of the political choices made by each government and how each is faced with different cultural and sociological variables which has influenced future of the financial markets. This book provides a look at the fiber of each of these three Arab Nations in respect of their financial markets.
By:
Jean-Francois Seznec Imprint: Routledge Country of Publication: United Kingdom Volume: 18 Dimensions:
Height: 234mm,
Width: 156mm,
Weight: 249g ISBN:9781138571808 ISBN 10: 1138571806 Series:Routledge Library Editions: Financial Markets Pages: 160 Publication Date:29 May 2019 Audience:
College/higher education
,
A / AS level
,
Further / Higher Education
Format:Paperback Publisher's Status: Active
Introduction 1. The Gulf Financial Markets Prior to 1973 2. The Central Banks 3. The Commercial Banks 4. The Stock Markets 5. The Islamic Banks 6. The Other Components of the Gulf Financial Markets 7. Government Financial Institutions Other than the Central Banks 8. Problems of the Financial Markets in the Gulf 9. The Future of the Markets Conclusion