My book examines over 1.2 million data points to take the reader into the eye of the storm. It explores financial markets & conditions prevailing during Q4-2008. It highlights government actions, economic outlook, and policy implications during the period and brings attention to government rescue measures and the state of European banking as the contagion spread from the United States. It concludes with historical lessons and case studies in financial sector restructuring. My findings are presented by way of charts, graphics, data points and are devoid of opinion. I bring a fact based, data driven approach to explaining conditions as they exactly existed during the height of the financial crisis and do not rely on the benefit of twenty-twenty hindsight.
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