书籍 Too Big to Fail的封面

Too Big to Fail

Andrew Ross Sorkin

出版社

Viking Adult

出版时间

2009-10-20

ISBN

9780670021253

评分

★★★★★
书籍介绍

Andrew Ross Sorkin delivers the first true behind-the-scenes, moment-by-moment account of how the greatest financial crisis since the Great Depression developed into a global tsunami. From inside the corner office at Lehman Brothers to secret meetings in South Korea, and the corridors of Washington, Too Big to Fail is the definitive story of the most powerful men and women in finance and politics grappling with success and failure, ego and greed, and, ultimately, the fate of the world’s economy.

“We’ve got to get some foam down on the runway!” a sleepless Timothy Geithner, the then-president of the Federal Reserve of New York, would tell Henry M. Paulson, the Treasury secretary, about the catastrophic crash the world’s financial system would experience.

Through unprecedented access to the players involved, Too Big to Fail re-creates all the drama and turmoil, revealing never disclosed details and elucidating how decisions made on Wall Street over the past decade sowed the seeds of the debacle. This true story is not just a look at banks that were “too big to fail,” it is a real-life thriller with a cast of bold-faced names who themselves thought they were too big to fail.

Andrew Ross Sorkin is the award-winning chief mergers and acquisitions reporter for The New York Times, a columnist, and assistant editor of business and finance news. He is also the editor and founder of DealBook, an online daily financial report. He has won a Gerald Loeb Award, the highest honor in business journalism, and a Society of American Business Editors and Writers Aw...

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目录
Contents
Praise for Too Big to Fail
About the Author
Title Page
Copyright

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用户评论
太精彩了!
所有人都活在他们的黑莓荧光里。
好看!华尔街一次大洗牌。各位利益的权衡、选择,细节都刻画的非常棒。关于作者怎么能知道这么细节的疑问在全书最后也得到了解答。满足!钦佩!
08年的金融危机全注释本,不错~~~~~
书中详细记录了从2008年3月17日(贝尔斯登崩盘)起至2008年10月13日(美财政部和美联储联手制定的TARP救市项目正式施行)止,在美利坚合众国地界上发生的、与此轮危机有关的几乎所有重要事件。其间,Andrew还加入了对各位大佬发迹史的详细阐述,对各家金融寡头巨头和菜头的历史回顾,对各股博弈力量的来源去路的评断等,使得整本书花边正史同精彩,起伏跌宕各篇章。
Vivid narratives.
之前读过伯南克、保尔森、盖特纳的回忆录。这本书里还是有很多那些回忆录里未涉及的细节,当时场面的混乱也更为生动。不过实在是有点过细了。
新时代二月河,演绎多,非虚构作品硬生生写成了虚构作品。全文能加个一张报表分析的话可信度都高一些。看下来,雷曼是真的冤,被买遭英国政府阻拦,又赶上政府不救的唯一时间窗,以自己的倒闭掀起更大的风浪,反而迫使政府不得不出手。JPM或是最大赢家。paulson实惨,是不是头发都快掉没了。作者心存偏见,认为taxpayer的钱被浪费,然而作者似乎既不懂报表,也不懂一个deal是怎么close的,更不明白taxpayer短期的成本和长期的成本怎么算。总而言之,金融史写成了狗血八卦剧。
前事不忘后事之师。去年做案子还无意中在guaranty记录里看到当年雷曼的遗迹
书写得太流水账了;金融危机从人性的层面还是ego和自大骄纵。所以wall street不可能control itsef,必须要regulator来改变规范这个industry