Chapter 1) An Overview of the Mauritian Financial System and its Economy.- Chapter 2) Banking Sector Analysis.- Chapter 3) Developing a Credit Risk Model for Mauritian Bankers.- Chapter 4) Stock Market Analysis.- Chapter 5) The Behaviour of Foreign Investments in the Stock Exchange of Mauritius.- Chapter 6) US Subprime Crisis Impact on SEMDEX.- Chapter 7) Monetary Policy Analysis.- Chapter 8) Money Demand Analysis in Mauritius.- Chapter 9) Impact of Debit and Credit Cards on Currency in Circulation in Mauritius.- Chapter 10) A Posthumous Note on the Lombard rate in Mauritius.- Chapter 11) What Drives the Capital Structure of Non-Listed Mauritian Firms?.- Chapter 12) Capital Structure Analysis of Exporting and Non-exporting Mauritian Firms: A Pre- and Post- Crisis Investigation.- Chapter 13) What Factors Drive Hedging Among Mauritian Firms?.- Chapter 14) Developing a Financial Stability Model for Mauritius.- Chapter 15) Determinants of House Prices in Mauritius: A Hedonic Price model ? la Quantile Bootstrapped Approach.- Chapter 16) Stylised facts about the Mauritian Economy.- Chapter 17) Author's Vision for 2030.
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