First published 2010
Nouriel Roubini breaks down the analytical techniques he employed to predict the financial crisis while his fellow economists remained blind to the approaching disaster. This book dismantles prevailing myths about economic forecasting and exposes the specific methods Roubini developed to see what others missed. He walks readers through his contrarian approach to reading market signals and interpreting economic data that allowed him to sound the alarm before the collapse hit. Roubini demonstrates how these same analytical tools can illuminate current economic conditions and help readers anticipate future financial upheavals. The book provides a practical framework for understanding economic patterns and preparing for what lies ahead.
Genres: business, politics, economics, non-fiction, 21st-century, academic
Vibes: intimate, suspenseful, thought-provoking
Tropes: expert-protagonist, prediction
Period: 21st-Century
592 pages · Paperback · Destino CAT