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  •  
    1 500,-

    Explores the idea that Europe's growth problems may be caused by weaknesses in capital markets and in the access to risk capital. It addresses the evaluation of the financial needs and constraints of start-up firms and how these might be bridged. The role of public sector intervention is analyzed, focusing on international best practices.

  • - System Architectures, Practices and Risks in the Era of Deregulation
     
    1 500,-

    This book is a valuable companion for everyone who is interested in the historical context of the co-evolution of financial markets and information technologies in the last 30 years. The contributors analyze system architectures and solution technologies in banking and finance by focusing on the particularities of certain practices and risks.

  •  
    796,-

    The current financial crisis started from the US real estate market and after, though the increase of risk premium requested by investors and due to the lack of liquidity of all financial markets, it became a world financial crisis. A detailed analysis during the crisis focuses attention on asset management, the real estate and public sector.

  • av Philip Molyneux, S. Carbo & E. Gardner
    1 500,-

    This text is concerned with the increasingly important and problematic area of financial exclusion, broadly defined as the inability and/or reluctance of particular societal groups to access mainstream financial services.

  • av A. Schertler
    1 500,-

    By analyzing venture capital industries, this book substantially adds to the understanding of Europe's venture capital industries. It discusses the microeconomics of fund raising, investment and exiting behaviour of venture capital companies and relates the microeconomics of venture capital finance to the industry features in European countries.

  • - Banking Under Political Instability and Chronic High Inflation
    av Y. Altunbas, A. Kara & OE. Olgu
    1 500,-

    In light of Turkey's EU bid and the successful IMF-led disinflation program, this book explores the evolution and performance of the Turkish banking sector. Analyzing the repercussions of overall economic structure, financial crises and political instability on its financial sector, it scrutinizes the prospects for the future of banking sectors.

  • - The Case of Pakistan
    av M. Khan & M. Bhatti
    1 500,-

    This book explores the theoretical and practical features of Islamic banking. Using Pakistan as a detailed illustration, the text discusses recent developments and future prospects, demonstrating the model underpinning interest-free banking. It assesses the practical success of interest-free banking at both individual banks and state level.

  •  
    1 500,-

    Globalization and the financial crisis highlight the problems caused by worldwide banking organizations and force financial groups to reassess their development strategies. This book discusses the impact of the crisis on the consolidation process in the European financial industry and the need for regulation and financial supervision.

  • - Case Studies
     
    1 500,-

    This book investigates the main features of the evolution of the co-operative banking model in European countries, using 'country case-study' analysis. Structured in two parts, the first deals with a sample of countries that joined the European Union before 2000; the second part with a sample of newly-admitted European Union member countries.

  • - A Hybrid of Relationship Lending and Publicly Traded Debt
    av Y. Altunbas, A. Kara & B. Gadanecz
    1 500,-

    This book examines the development of the international syndicated credits market over the past three decades. Bringing together views of practitioners and academics it provides original answers to unexplored research questions. With extensive coverage and thought-provoking insights, the book is of value to students, practitioners and academics.

  • - The Evolution of Financing along Traditional and Alternative Avenues
     
    1 220,-

    This book explores the evolution of the banking sector and the financing tools it fosters, addressing the impact of new regulations and the ensuing opportunities for financial institutions, firms, and individuals.

  • - History, Performance and Prospects
    av P. Molyneux & M. Iqbal
    796,-

    This text explains how Islamic banking works and what it offers as an alternative model of financial intermediation. Will Islamic banks survive in highly competitive and globalized financial markets? How does the relative performance and efficiency of Islamic banks compare to conventional banks?

  • av P. Molyneux & M. Iqbal
    1 506,-

    This book provides state-of-the art analysis of banking and financial systems in the Arab world. The early chapters of the text present an overview of Arab economies linking banking and financial sector trends in the Arab world over the last twenty years.

  • av Mario La Torre & Gianfranco A. Vento
    1 500,-

    Microfinance is a comprehensive analysis of the operational, managerial and financial aspects of microfinance. It analyzes the main products and services available in modern microfinance and explains how to manage the financial and non financial risks involved.

  • - Patterns, Strategies and Performance
    av Alfred Slager
    1 500,-

    Increasingly the world's largest banks have more activity happening internationally. What are the effects of internationalization, and what is a successful business model for the future? This book explores the formulation, implementation and evaluation of internationalization strategies, examining those of the leading banks in eight countries.

  • av Philip Molyneux & Eleuterio Vallelado
    606 - 796,-

    In today's globalized economy, banking is of international importance. This book interrogates important issues, including reform in China, electronic money and loan pricing. Highlighting key policy and research, it provides insight into contemporary global banking trends and assesses the impact of new technology for future industry development.

  • - Historical Perspectives
     
    1 500,-

    Hong Kong SAR is now highly unusual as a large economy running a currency board system that pegs the Hong Kong Dollar to the US Dollar. This volume explores the origins and persistence of this system, presenting the viewpoint of several of the main protagonists in the operation of the currency board since 1983 as well as new research by academics.

  • - The Era of Transformation
    av Peter Falush & Robert L. Carter
    1 500,-

    A comprehensive chronicle of thetransformation of the intensely competitive British insurance industry in response to evolving economic, social, technological and political conditions. It analyzes the fast-changing shape of the distribution system, the role of the state and the shifting boundaries of insurability and risk transfer.

  • - Explaining the Success of Spanish Banks
    av Kimio Kase & Tanguy Jacopin
    1 500,-

    This book analyzes rapidly-growing world-class Spanish retail banks. It argues that their success is due to excellent management, clear-headed CEOs, the presence of a cluster of like-minded executives who complement each other and create a homogenous strategy pattern, and that IT systems and the regulatory environment have contributed greatly.

  • - 20 Years of Transition
     
    1 500,-

    This book provides a deep insight into the market changes and policy challenges that transition economies have undergone in the last twenty years. It not only comments on and evaluates the development of financial markets in transition economies, but also highlights the key obstacles to full integration of financial markets into the EU market.

  • av D. Chorafas
    1 500,-

    This book examines the banking crisis of July/August 2007 and its ensuing after-effects in 2008-2009: economic crisis, credit crunch, massive recapitalization of some banks and nationalization of other banks. The author offers his views on the factors which led to this global financial catastrophe and how it could have been avoided.

  • - A History of Crises
    av Jill M. Hendrickson
    1 500,-

    The historical response to bank crises has always been more regulation. A pattern emerges that some may find surprising: regulation often contributes to bank instability. It suppresses competition and effective response to market changes and encourages bankers to take on additional risk. This book offers a valuable history lesson for policy makers.

  •  
    796,-

    In the wake of the recent financial crisis that has created enormous regulatory risks, changes in the content of banking regulation are crucial. In this book, policy makers and advisors from central banks across Africa discuss this topical subject, focussing on how to enhance bank competition and intermediation efficiency in the region.

  • av D. Chorafas
    1 500,-

    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.

  •  
    796,-

    This text comprises a selection of papers that provide state-of-the-art insights into research focusing on dimensions of bank strategy, governance and the role of credit rating agencies that were presented at the European Association of University Teachers of Banking and Finance Conference, September 2010.

  • - Essays on Crises, Capital Flows, FDI and Exchange Rates
    av R. Rajan
    796,-

    This book on the different aspects of international economic policy covers financial crises, reserve accumulation, capital flows and currency wars as well as issues relating to foreign direct investment and developments in China and India.

  • av Paola Leone & Gianfranco A. Vento
    1 500 - 1 506,-

    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.

  •  
    796,-

    This book presents an in-depth appreciation of key topics related to the behaviour of financial institutions in the crisis and stresses areas of major research interest. It covers a selection of papers specialising ranging from the analysis of bank and stock market performance in the crisis, to other areas such as microinsurance and social lending.

  •  
    1 500,-

    Updated insight into key facts impacting on financial institutions after the financial crisis, highlighting areas of major policy and academic interest. The book includes ten chapters analysing contrasting issues such as intellectual capital, cost efficiency, bank stability, credit risk and business models for the wealth management industry.

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