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The author examines the causes of the U.S. stock market crash of 2008 and its relation to overpriced real estate, bad mortgages, shareholder demand for excessive profits, and the growth of toxic derivatives.
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Previews available in: English
Subjects
Economic conditions, Global Financial Crisis, 2008-2009, Financial crises, History, Finance, Nonfiction, New York Times bestseller, nyt:paperback_business_books=2012-02-25, Economic Recession, Crises financières, History, 21st Century, Global Financial Crisis (2008-2009) fast (OCoLC)fst01755654, Conditions économiques, Economics, Crise financière mondiale, 2008-2009, Histoire, Politique du crédit, Crise financière, Instruments financiers, Hypothèques, Krach, 2008, Institutions financières, Economic history, United states, economic conditions, 2001-2009, Large type booksPlaces
United StatesTimes
2001-2009, 21st centuryShowing 7 featured editions. View all 7 editions?
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The big short: inside the doomsday machine
2010, W.W. Norton, W. W. Norton & Company
in English
- 1st ed.
0393072231 9780393072235
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The big short: inside the doomsday machine
2010, W.W. Norton
in English
- 1st ed.
0393072231 9780393072235
|
zzzz
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WorldCat
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5
The big short: inside the doomsday machine
2010, W.W. Norton & Co.
in English
- 1st ed.
0393072231 9780393072235
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6
The big short: inside the doomsday machine
2010, W.W. Norton
in English
- 1st ed.
0393072231 9780393072235
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zzzz
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7
The big short: inside the doomsday machine
2010, Thorndike Press
in English
141043026X 9781410430267
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The #1 New York Times bestseller: a brilliant account—character-rich and darkly humorous—of how the U.S. economy was driven over the cliff.
When the crash of the U. S. stock market became public knowledge in the fall of 2008, it was already old news. The real crash, the silent crash, had taken place over the previous year, in bizarre feeder markets where the sun doesn’t shine, and the SEC doesn’t dare, or bother, to tread: the bond and real estate derivative markets where geeks invent impenetrable securities to profit from the misery of lower- and middle-class Americans who can’t pay their debts. The smart people who understood what was or might be happening were paralyzed by hope and fear; in any case, they weren’t talking.
The crucial question is this: Who understood the risk inherent in the assumption of ever-rising real estate prices, a risk compounded daily by the creation of those arcane, artificial securities loosely based on piles of doubtful mortgages? Michael Lewis turns the inquiry on its head to create a fresh, character-driven narrative brimming with indignation and dark humor, a fitting sequel to his #1 best-selling Liar’s Poker. Who got it right? he asks. Who saw the real estate market for the black hole it would become, and eventually made billions of dollars from that perception? And what qualities of character made those few persist when their peers and colleagues dismissed them as Chicken Littles? Out of this handful of unlikely—really unlikely—heroes, Lewis fashions a story as compelling and unusual as any of his earlier bestsellers, proving yet again that he is the finest and funniest chronicler of our times.
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Feedback?November 13, 2020 | Edited by MARC Bot | import existing book |
August 15, 2020 | Edited by ImportBot | import existing book |
September 5, 2019 | Edited by JeffKaplan | Reverted Spam |
September 2, 2019 | Edited by Ted Lienhart | Edited without comment. |
May 1, 2010 | Created by WorkBot | work found |