The new paradigm for financial markets

the credit crisis of 2008 and what it means

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Last edited by MARC Bot
February 14, 2026 | History

The new paradigm for financial markets

the credit crisis of 2008 and what it means

  • 5.0 (1 rating)
  • 2 Want to read
  • 1 Have read

In the midst of the most serious financial upheaval since the Great Depression, legendary financier George Soros explores the origins of the crisis and its implications for the future. In a concise essay that combines practical insight with philosophical depth, Soros makes an invaluable contribution to our understanding of the great credit crisis and its implications for our nation and the world.

Publish Date
Publisher
PublicAffairs
Language
English
Pages
162

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Previews available in: English

Edition Availability
Cover of: The crash of 2008 and what it means
The crash of 2008 and what it means: the new paradigm for financial markets
2009, PublicAffairs
in English
Cover of: The New Paradigm for Financial Markets
The New Paradigm for Financial Markets
2008, PublicAffairs
Electronic resource in English
Cover of: The new paradigm for financial markets

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Book Details


Table of Contents

Introduction
Setting the stage
The core idea
Autobiography of a failed philosopher
The theory of reflexivity
Reflexivity in financial markets
The super-bubble hypothesis
Autobiography of a successful speculator
My outlook for 2008
Some policy recommendations.

Edition Notes

Published in
New York

Classifications

Dewey Decimal Class
332.0973
Library of Congress
HB3722 .S673 2008, HB3722 .S6735 2009, HB3722.S673 2008, HB3717 2008.S67 2008

The Physical Object

Pagination
p. cm.
Number of pages
162

Edition Identifiers

Open Library
OL16752407M
ISBN 13
9781586486839, 9781586486846
LCCN
2008013695, 2009499272
OCLC/WorldCat
246893136, 220098228
LibraryThing
5206484
Goodreads
3191235
4933240

Work Identifiers

Work ID
OL1993764W

Work Description

In the midst of the most serious financial upheaval since the Great Depression, legendary financier George Soros explores the origins of the crisis and its implications for the future. Soros, whose breadth of experience in financial markets is unrivaled, places the current crisis in the context of decades of study of how individuals and institutions handle the boom and bust cycles that now dominate global economic activity. "This is a once in a lifetime moment," writes Soros in characterizing the scale of financial distress spreading across Wall Street and other financial centers around the world. In a concise essay that combines practical insight with philosophical depth, Soros makes an invaluable contribution to our understanding of the great credit crisis and its implications for our nation and the world.

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February 14, 2026 Edited by MARC Bot import existing book
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December 26, 2022 Edited by MARC Bot import existing book
September 25, 2008 Created by ImportBot initial import