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Bøker i Palgrave Macmillan Studies in Banking and Financial Institutions-serien

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  • - Funding, Policy and Operational Challenges
    av Djurdjica Ognjenovic
    1 898 - 1 938,-

  • av Jakub Kerlin
    1 745,-

    This book examines the changing role of Deposit Guarantee Schemes (DGSs) as a financial safety net of the European Union, with specific emphasis on post-crisis reforms.

  • av Yong Tan
    751 - 979,-

    This book applies econometric techniques to test the relationship between efficiency and risk within the banking industry in China. The author begins by unpacking these reforms and proceeds to explain relevant theories of efficiency and bank risk before reviewing empirical literature in evaluating risk and efficiency in the banking industry.

  • - A Critical Assessment
    av Angelo Baglioni
    565 - 751,-

    Why did European policy-makers introduce the Banking Union? Which are its main features? How does it affect banks and their customers? This book tries to answer these questions, by providing a clear description of the building blocks of the banking union, and by discussing the issues that still remain unanswered.

  • - A New Corporate Finance Approach
    av Federico Beltrame & Daniele Previtali
    979 - 1 898,-

    This book aims to overcome the limitations the variations in bank-specifics impose by providing a bank-specific valuation theoretical framework and a new asset-side model.

  • - Monetary Policy, Adjustment and Flexibility in a Global Setting
    av Anders Ogren & Lars Fredrik Oksendal
    1 439,-

    The remarkably successful gold standard before 1914 was the first international monetary regime. This book addresses the experience of the gold standard peripheries; i.e. regime takers with limited influence on the regime. How did small countries adjust to an international monetary regime with seemingly little room for policy autonomy?

  • - History, Policy and Politics
    av J. J. Woo
    827,-

  • - Lending, Management and the Impact of Basel III
    av Paola Ferretti
    1 632,-

    This book analyses the connections between the banking industry in Europe and the companies it finances. Chapters discuss the role of bank lending in firms' financing during the recent financial crisis, as well as issues in credit risk management.

  • av Steffen Elkiaer Andersen
    1 745 - 1 785,-

    This book explores the formation and evolution of Scandinavian central banks. It also explores how Scandinavian central banks have conformed to the defined ideals of "central banks" over the last 100 years, clarifying the distinctions between commercial banks and central banks, and between central banks and departments of governments.

  • av Jakub Kerlin, Pawel Smaga, Bartosz Witkowski, m.fl.
    1 439,-

    This book explores the diversity of restructuring instruments applied to financial institutions in EU countries during the Global Financial Crisis. The following chapters explore the financial environment in the EU before the crisis outbreak, the rescue actions and financial landscape after the events of the crisis.

  • - Supervision and Resolution
    av Giuseppe Boccuzzi
    1 745,-

    The Banking Union took a broad approach to resolve the structural fragmentation and distortions in the European banking system which were major obstacles to a working single market for financial services. The book focuses on the new framework for banking crisis management, starting from the foundations of banking regulation and supervision.

  • - A Greater Role for Central Banks
    av Pierluigi Ciocca
    751,-

    The role of central banks as a hinge on which the financial system rests has returned to the top of the political agenda in recent years.

  • - The Credit and Banking Crisis of 2007-2009 and Beyond
    av D. Chorafas
    1 439,-

    The credit and banking crisis which hit the western world in 2007/2008 has and will continue to have far-reaching after-effects. At their core are Collateralized Debt Obligations (CDOs) and Credit Default Swaos (CDSs), the main themes of this book.

  • - Evidence from Calendar Effects
    av Gianluca Mattarocci
    751,-

    This book analyses calendar anomalies in the real estate industry with a focus on the European market. It considers annual, monthly and weekly calendar anomalies looking at a representative sample of European REITs and highlights the main differences amongst the countries.

  • av Kim Hawtrey
    1 200 - 1 439,-

    This text explores the vexing problem of housing exclusion and the related financial fallout, which has come into sharp relief since the onset of the housing-led global credit crisis. The book looks at the dimensions of affordable housing finance, compares current policy approaches in the US, UK and Australia, and works towards solutions.

  • - Debt, Speculation and Crisis in the Age of Global Credit
    av Anastasia Nesvetailova
    1 439,-

    Fragile Finance examines financial crisis in the era of global credit. Drawing on the work of Hyman Minsky, the book discusses the global financial system over the past decade, suggesting that financial fragility stems from an explosive combination of financial innovation, over-borrowing, and progressive illiquidity of financial structures.

  • av Josanco Floreani & Maurizio Polato
    1 439,-

    This book is an economic analysis of the stock exchange industry. The authors draw on theories from micro- and industrial economics to provide a detailed analysis of the industry structure, the strategic behaviour of key participants and the performance of stock exchanges.

  • - A History
    av Gabriel Tortella & José Luis García Ruiz
    1 439,-

    This book incorporates advances in financial and monetary history and theory and shows the relevance of Spain's story to modern banking, monetary and development theory. It studies the early development of banking and monetary institutions and shows how financial and monetary mismanagement contributed to the decline of Spain in the early modern era

  • av Elena Beccalli
    1 439,-

    This book provides a detailed insight into the role of IT in European banking and investigates whether IT investments in hardware, software and other IT services have influenced bank performance. It considers the central question of whether or not the massive spending on IT by banks has improved their performance or productivity

  • - The United States in the Early Twenty-First Century
    av J. Hendrickson
    1 439,-

    This book offers a critical look at prominent theories of financial crisis to try to understand how prepared the profession is for identifying the next financial crisis. An analysis of the first financial crisis of the twenty-first century serves as a starting point for rethinking the efficacy of existing economic models and theories.

  • av Joseph Falzon
    1 439,-

    The latest scholarly developments in research on banking, financial markets, and the recent financial crisis. This selection of papers were presented at the Wolpertinger Conference held in Valletta, Malta, 2012 and provide insights into bank performance, banking risk, securitisation, bank stability, sovereign debt and derivatives.

  • av Bernardo Nicoletti
    1 439,-

    Financial institutions must become more innovative in the conduct of their business. Cloud computing helps to achieve several objectives: innovative services, re-engineered processes, business agility and value optimization. Research, consultancy practice and case studies in this book consider the opportunities and risks with vendor relationships.

  • av Rym Ayadi & Sami Mouley
    751,-

    Monetary Policy, central banking, and international norms and regulations; a discussion far from new, nor applying exclusively to the world's most advanced economies. A sound monetary policy and a well-enforced regulatory regime is provided, in explanation of developing nations to channel financial resources more efficiently into investments.

  • - Adrift in a Sea of Red Ink
    av D. Chorafas
    751,-

    The 'good life' for households has passed. The unwanted result which accompanied it is the sea of red ink. Confidence in the western way of life will not return until the current mess of a dysfunctional society, and its economy, is cleared out. Household Finance explains why and how this can be done.

  • - Post-Crisis Risks, Challenges and Opportunities
    av Emrah Arbak & Rym Ayadi
    751,-

    Assesses to what extent increased international cooperation could help selected financial centres in Europe respond to the future risks and opportunities facing them. The book identifies challenges that the jurisdictions face in coming years by means of representative samples and systematic comparisons of financial centres.

  • av Daniela Pirvu
    602 - 751,-

    Through the arguments for corporate tax harmonization in the EU and describing the current stage of this process, the legislative rules which are insufficient to solve the many problems implied by the proper functioning of the Single Market, are revealed. The book also exposes the issues involved in the consolidation of the corporate tax base.

  • av Alessandro Roselli
    1 439,-

    A survey of past financial crises, starting with the great banking collapses of the interwar period. The current turmoil has prompted a number of questions regarding both its origins and ways to avoid its repetition. The historical background and the evolving institutional framework of banking and financial systems are at the center of this book.

  • av Paola Leone & Gianfranco A. Vento
    1 439,-

    This book analyses and confronts the functioning of guarantee systems for SMEs in countries where these schemes had an important development. The book also highlights how the current financial crisis is modifying the guarantees schemes, through policy maker interventions.

  • av D. Chorafas
    1 439,-

    The banking industry extensively lobbied against Basel III and governments have been keen to delay its full implementation. Chorafas' latest book takes a well-rounded approach on Basel III's strengths and weaknesses and explains how, without deep restructuring of the global banking industry, (like Basel II) Basel III will fail.

  • - Past, Present and Future
    av Ornella Ricci
    1 439,-

    This book offers a comprehensive view on bancassurance from its origin to future challenges and opportunities, considering the relevant changes currently interesting the financial services industry. It also provides a detailed review of theoretical and empirical literature dealing with financial conglomeration.

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