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Chapter 3: Evolving Roles

Bernard Lee

Chapter 3 in Evolving Roles of Sovereign Wealth Managers After the Financial Crisis:Past, Present and Future, 2014, pp 47-78 from World Scientific Publishing Co. Pte. Ltd.

Abstract: The following sections are included: Introduction Motivation Recap on the Lee (2006) Approach Roadmap Abstract Model of Global Economy Basic Descriptions Country A — Rich in Resources Country B — Rich in Labor Country C — Rich in Intellectual Properties/Innovation Analysis in the Absence of Policy Actions Potential Outcomes of Policy Interventions Intervention Policy 1 — Restoration of a Gold Standard Intervention Policy 2 — “Printing Money” Ad Infinitum Intervention Policy 3 — Issuing Alternative Trading Currencies Implications to SWF Investing SWF Asset Allocation in Typical Markets SWF Allocation under Market in Distress SWF Participation in Rescue Efforts Summary

Keywords: Sovereign Wealth Fund; Central Bank Reserves; Global Imbalance; Financial Crisis; Market Constraints for Mega-Sized Investors (search for similar items in EconPapers)
Date: 2014
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