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About This Book
This book offers a comprehensive assessment of the Mauritian economy and its financial system. The author investigates the pre- and post- crisis financial and economic environment of Mauritius thoroughly and looks to the future potential development of the economy. Chapters feature in-depth analysis of such aspects as the banking sector, the stock market, monetary policy, capital structure, the hedging practices of Mauritian firms, and the housing market in Mauritius, among others. Moreover, the author not only builds a credit risk model for Mauritian bankers, but also develops a financial stability model to provide the reader with a full account of the Mauritian economy. The author ends with a chapter dedicated to a 2030 vision for Mauritius. This book will be of interest to researchers, students, policy-makers, central bankers and economists who wish to explore an example of an upper-income developing economy in depth.
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Table of contents
- Preface
- Contents
- List of Figures
- List of Tables
- Part I: An Overview of the Mauritian Economy
- Part II: The Mauritian Banking Sector
- Part III: The Stock Market in Mauritius
- Part IV: Monetary Policy in Mauritius
- Part V: The Business Sector and Its Financing Structure in Mauritius
- Part VI: Hedging in Mauritius
- Part VII: Financial Stability Risk Assessment in Mauritius
- Part VIII: House Price Modelling in Mauritius
- Part IX: Stylised Facts and Vision for Mauritius
- Bibliography
- Index