Decision Taking Confidence And Risk Management In Banks From Early Modernity To The 20th Century

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Decision Taking, Confidence and Risk Management in Banks from Early Modernity to the 20th Century

Author : Korinna Schönhärl
Publisher : Springer
Page : 342 pages
File Size : 48,7 Mb
Release : 2017-01-26
Category : Business & Economics
ISBN : 9783319420769

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Decision Taking, Confidence and Risk Management in Banks from Early Modernity to the 20th Century by Korinna Schönhärl Pdf

This book offers 14 contributions that examine key questions in bank decision-taking,constitution of confidence in banks and risk management practices from Early Modernity to the twentieth century. It explores how the various mechanisms of bank decision taking changed over time. Chapters also analyse the types of risk management techniques used, the contributory factors to the constitution of confidence and the methods that banking historians can use to analyse and describe bankers ́ risk management and decision taking - from system theory to behavioural finance, new institutional economics to praxeology and convention theory to network analysis. The different methodological approaches are put to the test in case studies based on archive material from four hundred years of banking in order to connect banking history more closely to political and cultural history.

Early Modern Debts

Author : Laura Kolb,George Oppitz-Trotman
Publisher : Springer Nature
Page : 421 pages
File Size : 43,8 Mb
Release : 2020-11-30
Category : Literary Criticism
ISBN : 9783030597696

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Early Modern Debts by Laura Kolb,George Oppitz-Trotman Pdf

Early Modern Debts: 1550–1700 makes an important contribution to the history of debt and credit in Europe, creating new transnational and interdisciplinary perspectives on problems of debt, credit, trust, interest, and investment in early modern societies. The collection includes essays by leading international scholars and early career researchers in the fields of economic and social history, legal history, literary criticism, and philosophy on such subjects as trust and belief; risk; institutional history; colonialism; personhood; interiority; rhetorical invention; amicable language; ethnicity and credit; household economics; service; and the history of comedy. Across the collection, the book reveals debt’s ubiquity in life and literature. It considers debt’s function as a tie between the individual and the larger group and the ways in which debts structured the home, urban life, legal systems, and linguistic and literary forms.

Financial Behavior

Author : Harold Kent Baker,Greg Filbeck,Victor Ricciardi
Publisher : Oxford University Press
Page : 681 pages
File Size : 55,9 Mb
Release : 2017
Category : Business & Economics
ISBN : 9780190269999

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Financial Behavior by Harold Kent Baker,Greg Filbeck,Victor Ricciardi Pdf

About the editors -- About the contributors -- Abbreviations -- Financial behavior and psychology -- Financial behavior : an overview / H. Kent Baker, Greg Filbeck, and Victor Ricciardi -- The financial psychology of players, services, and products / Victor Ricciardi -- The financial behavior of major players -- Individual investors / Henrik Cronqvist and Danling Jiang -- Institutional investors / Alexandre Skiba and Hilla Skiba -- Corporate executives, directors, and boards / John R. Nofsinger and Pattanaporn Chatjuthamard -- Financial planners and advisors / Benjamin F. Cummings -- Financial analysts / Susan M. Young -- Portfolio managers / Erik Devos, Andrew C. Spieler, and Joseph M. Tenaglia -- Financial psychopaths / Deborah W. Gregory -- Financial and investor psychology of specific players -- The psychology of high net worth individuals / Rebecca Li-Huang -- The psychology of traders / Duccio Martelli -- A closer look at frequent trader / Michal Strahivevitz -- The psychology of women investors / Marguerita M. Cheng, and Sameer S. Somal -- The financial psychology of millennials / April Rudin and Catherine McBreen -- The psychology of financial services -- Psychological aspect of financial planning / Dave Yeske and Elissa Buie -- Financial advisory services / Jeroen Nieboer, Paul Dolan, and Ivo Vlaev -- Insurance and risk management / James M. Moten Jr. and C.W. Copeland -- Psychological factors in estate planning / John Guerin and L. Paul Hood -- Individual biases in retirement planning and wealth management / James E. Brewer Jr., and Charles Self -- The behavioral aspects of investmnet products and markets -- Traditional asset allocation securities: stocks, bonds, real estate, and cash / Christopher Milliken, Ehsan Nikbakht, and Andrew Spieler -- Behavioral aspects of mutual funds, exchange-traded funds, hedge funds, and pension funds / Nathan Mauck -- Current trends in successful international mergers and acquisitions / Nancy Hubbard -- Art and collectibles management / Peter J. May -- Market efficiency issues -- Behavioral finance market hypothesis / Alex Plastun -- Stock market anomalies / Steve Fan and Linda Yu -- The psychology of speculation in financial markets / Victor Ricciardi -- Can humans dance with machines? : institutional investors, high frequency trading, and modern markets dynamics / Irene Aldridge -- The application and future of behavioral finance -- Applications of client behavior : a practitioner's perspective / Harold Evensky -- Practical challenges of implementing behavioral finance : reflections from the field / Greg B. Davies and Peter Brooks -- The future of behavioral finance / Michael Dowling and Brian Lucey -- Discussion questions and answers -- Index

Foreign Banks and Global Finance in Modern China

Author : Ghassan Moazzin
Publisher : Cambridge University Press
Page : 355 pages
File Size : 43,9 Mb
Release : 2022-07-07
Category : Business & Economics
ISBN : 9781009036986

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Foreign Banks and Global Finance in Modern China by Ghassan Moazzin Pdf

In this wide-ranging study, Ghassan Moazzin sheds critical new light on the history of foreign banks in late nineteenth and early twentieth century China, a time that saw a substantial influx of foreign financial institutions into China and a rapid increase of both China's foreign trade and its interactions with international capital markets. Drawing on a broad range of German, English, Japanese and Chinese primary sources, including business records, government documents and personal papers, Moazzin reconstructs how during this period foreign banks facilitated China's financial integration into the first global economy and provided the financial infrastructure required for modern economic globalization in China. Foreign Banks and Global Finance in Modern China shows the key role international finance and foreign banks and capital markets played at important turning points in modern Chinese history.

Maintaining Financial Stability in Times of Risk and Uncertainty

Author : Behl, Abhishek,Nayak, Sushma
Publisher : IGI Global
Page : 377 pages
File Size : 47,8 Mb
Release : 2018-12-04
Category : Business & Economics
ISBN : 9781522572091

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Maintaining Financial Stability in Times of Risk and Uncertainty by Behl, Abhishek,Nayak, Sushma Pdf

Risks and uncertainties?market, financial, operational, social, humanitarian, environmental, and institutional?are the inherent realities of the modern world. Stock market crashes, demonetization of currency, and climate change constitute just a few examples that can adversely impact financial institutions across the globe. To mitigate these risks and avoid a financial crisis, a better understanding of how the economy responds to uncertainties is needed. Maintaining Financial Stability in Times of Risk and Uncertainty is an essential reference source that discusses how risks and uncertainties affect the financial stability and security of individuals and institutions, as well as probable solutions to mitigate risk and achieve financial resilience under uncertainty. Featuring research on topics such as financial fraud, insurance ombudsman, and Knightian uncertainty, this book is developed for researchers, academicians, policymakers, students, and scholars.

Cash and Dash

Author : Bernardo Bátiz-Lazo
Publisher : Oxford University Press
Page : 272 pages
File Size : 53,5 Mb
Release : 2018-06-28
Category : Business & Economics
ISBN : 9780191085581

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Cash and Dash by Bernardo Bátiz-Lazo Pdf

Cash and Dash: How ATMs and Computers Changed Banking uses the invention and development of the automated teller machine (ATM) to explain the birth and evolution of digital banking, from the 1960s to present day. It tackles head on the drivers of long-term innovation in retail banking with emphasis on the payment system. Using a novel approach to better understanding the industrial organization of financial markets, Cash and Dash contributes to a broader discussion around innovation and labour-saving devices. It explores attitudes to the patent system, formation of standards, organizational politics, the interaction between regulation and strategy, trust and domestication, maintenance versus disruption, and the huge undertakings needed to develop online real-time banking to customers.

Details Are Unprintable

Author : Allan Levine
Publisher : Rowman & Littlefield
Page : 289 pages
File Size : 44,6 Mb
Release : 2020-10-01
Category : True Crime
ISBN : 9781493057870

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Details Are Unprintable by Allan Levine Pdf

The narrative of Details Are Unprintable primarily unfolds over a seven-month period from October 1943 to April 1944—from the moment the body of twenty-two-year old Patricia Burton Lonergan is discovered in the bedroom of her New York City Beekman Hill apartment, to the arrest of her husband of two years, Wayne Lonergan, for her murder, and his subsequent trial and conviction. But this story goes back in time to the 1920s, when Wayne Lonergan grew up in Toronto and then forward to his post-prison life following his deportation to Canada. It is the chronicle of Lonergan in denial as a bisexual or gay man living in an intolerant and morally superior heterosexual world; and of Patricia, rich and entitled, a seeker of attention, who loved a night out on the town—all set against the fast pace of New York’s ostentatious café society. Part True Crime and part a social history of New York City in the 1940s, this book transports readers to the New York World’s Fair of 1939 when Patricia’s father William Burton first encountered Lonergan; the Stork Club, 21 Club, and El Morocco to experience with Patricia a night of drinking champagne cocktails and dancing; and the muggy New York courtroom where Lonergan’s fate was decided. What truly happened on that tragic night in October 24, 1943? Should we accept Lonergan’s confession at face value as the jury did? Or was he indeed a victim of physical and mental abuse by the state prosecutors and the police, as he maintained for the rest of his life? This book considers these, and other, key questions.

Witchcraft in Romania

Author : Ioan Pop-Curşeu,Ștefana Pop-Curșeu
Publisher : Springer Nature
Page : 340 pages
File Size : 46,9 Mb
Release : 2022-11-30
Category : History
ISBN : 9783031152221

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Witchcraft in Romania by Ioan Pop-Curşeu,Ștefana Pop-Curșeu Pdf

This book provides a history of witchcraft in the territories that compose contemporary Romania, with a focus on the sixteenth to nineteenth centuries. The first part presents aspects of earthly justice, religious and secular, analysing the codes of law, trials and verdicts, and underlining the differences between Transylvania on one hand, and Moldavia and Wallachia on the other. The second part is concerned with divine justice, describing apocalyptic texts that talk about the pains of witches in hell, but also the ensembles of religious painting where, in vast compositions of the Last Judgment, various punishments for the sin of witchcraft are imagined.

European Investment in Greece in the Nineteenth Century

Author : Korinna Schönhärl
Publisher : Routledge
Page : 466 pages
File Size : 53,6 Mb
Release : 2020-09-23
Category : Business & Economics
ISBN : 9781000191547

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European Investment in Greece in the Nineteenth Century by Korinna Schönhärl Pdf

Banking historiography often does not sufficiently take into account bankers’ deliberations of their decision making, but rather limits investigation to considerations of profit maximisation. This book shows that the decision-making processes of nineteenth-century bankers contemplating high-risk financial markets like Greece are just as complex as present-day investment decisions. The book, now published in English after a first German edition, offers in-depth studies of decision making in concrete historical situations, considering political and economic circumstances and also the individual background of the actors concerned, including a reflection on the influence of cultural movements such as Philhellenism. Employing methodological inspirations from the field of behavioural finance, the book analyses a broad range of published and unpublished English, French, Greek, German and Swiss sources on European investment in Greece between 1821 and the Balkan wars. Additionally, rich insights into Greek economic history, the economic integration of the country into Europe and long-lasting European stereotypes of Southern Europe and Greece are provided; this furthers understanding of the historical background of the Greek financial crisis after 2009. In combining the perspectives of financial, economic, political and cultural history, this book is primarily significant for students of various fields of historiography. Due to its strong awareness of methodological questions, it is also of great interest to academic historians. In addition, the strong public interest in the Greek financial crisis after 2009 and its consequences for Europe will, thirdly, attract the interest of a broader public.

Financial Risk Management

Author : Jimmy Skoglund,Wei Chen
Publisher : John Wiley & Sons
Page : 580 pages
File Size : 47,6 Mb
Release : 2015-10-12
Category : Business & Economics
ISBN : 9781119135517

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Financial Risk Management by Jimmy Skoglund,Wei Chen Pdf

A global banking risk management guide geared toward the practitioner Financial Risk Management presents an in-depth look at banking risk on a global scale, including comprehensive examination of the U.S. Comprehensive Capital Analysis and Review, and the European Banking Authority stress tests. Written by the leaders of global banking risk products and management at SAS, this book provides the most up-to-date information and expert insight into real risk management. The discussion begins with an overview of methods for computing and managing a variety of risk, then moves into a review of the economic foundation of modern risk management and the growing importance of model risk management. Market risk, portfolio credit risk, counterparty credit risk, liquidity risk, profitability analysis, stress testing, and others are dissected and examined, arming you with the strategies you need to construct a robust risk management system. The book takes readers through a journey from basic market risk analysis to major recent advances in all financial risk disciplines seen in the banking industry. The quantitative methodologies are developed with ample business case discussions and examples illustrating how they are used in practice. Chapters devoted to firmwide risk and stress testing cross reference the different methodologies developed for the specific risk areas and explain how they work together at firmwide level. Since risk regulations have driven a lot of the recent practices, the book also relates to the current global regulations in the financial risk areas. Risk management is one of the fastest growing segments of the banking industry, fueled by banks' fundamental intermediary role in the global economy and the industry's profit-driven increase in risk-seeking behavior. This book is the product of the authors' experience in developing and implementing risk analytics in banks around the globe, giving you a comprehensive, quantitative-oriented risk management guide specifically for the practitioner. Compute and manage market, credit, asset, and liability risk Perform macroeconomic stress testing and act on the results Get up to date on regulatory practices and model risk management Examine the structure and construction of financial risk systems Delve into funds transfer pricing, profitability analysis, and more Quantitative capability is increasing with lightning speed, both methodologically and technologically. Risk professionals must keep pace with the changes, and exploit every tool at their disposal. Financial Risk Management is the practitioner's guide to anticipating, mitigating, and preventing risk in the modern banking industry.

German-Greek Yearbook of Political Economy, Volume 1

Author : Manfred J. Holler,George Tridimas
Publisher : BoD – Books on Demand
Page : 202 pages
File Size : 40,5 Mb
Release : 2018-02-26
Category : Political Science
ISBN : 9783882783001

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German-Greek Yearbook of Political Economy, Volume 1 by Manfred J. Holler,George Tridimas Pdf

German-Greek Yearbook of Political Economy, Volume 1/2018 Introduction to the Volume George Tridimas, When the Greeks Loved the Germans: The Political Economy of King Otto’s Reign Korinna Schönhärl, Why invest in Greece? Gerson von Bleichröder and the Greek loan of 1889 Konstantinos Pilpilidis, A Tale of Two States: Explaining Constitutional Choice in Germany and Greece Athanasios Gromitsaris, On Some Aspects of Administrative Justice in Post-Revolutionary Greece and their Relevance Today Barbara Klose-Ullmann, Medea on Stage: Child Murderess or Abandoned Wife? Emmanouil-Marios L. Economou and Nicholas Kyriazis, Ancient Greek Achaeans, Modern Germans and EU Integration: An Interdisciplinary Analysis of Federations Anja Pütz, The Athena of Dornach: A Bronze Statuette Unearthed in Munich’s Neighborhood Heinz D. Kurz, Marx on Aristotle and the Problem of the ‘Common Third’: A Sra ffi an perspective Konstantinos Koulaouzidis, ARS COMBINATORIA v2.5 or: The 64 Ways of Order Information: Conference Program

Risk Management in Banking

Author : Loel Bessis
Publisher : Unknown
Page : 792 pages
File Size : 53,5 Mb
Release : 2001
Category : Asset-liability management
ISBN : LCCN:2001045562

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Risk Management in Banking by Loel Bessis Pdf

Enterprise Risk Management

Author : John R. S. Fraser,Betty Simkins
Publisher : John Wiley & Sons
Page : 600 pages
File Size : 55,9 Mb
Release : 2010-01-07
Category : Business & Economics
ISBN : 9780470499085

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Enterprise Risk Management by John R. S. Fraser,Betty Simkins Pdf

Essential insights on the various aspects of enterprise risk management If you want to understand enterprise risk management from some of the leading academics and practitioners of this exciting new methodology, Enterprise Risk Management is the book for you. Through in-depth insights into what practitioners of this evolving business practice are actually doing as well as anticipating what needs to be taught on the topic, John Fraser and Betty Simkins have sought out the leading experts in this field to clearly explain what enterprise risk management is and how you can teach, learn, and implement these leading practices within the context of your business activities. In this book, the authors take a broad view of ERM, or what is called a holistic approach to ERM. Enterprise Risk Management introduces you to the wide range of concepts and techniques for managing risk in a holistic way that correctly identifies risks and prioritizes the appropriate responses. This invaluable guide offers a broad overview of the different types of techniques: the role of the board, risk tolerances, risk profiles, risk workshops, and allocation of resources, while focusing on the principles that determine business success. This comprehensive resource also provides a thorough introduction to enterprise risk management as it relates to credit, market, and operational risk, as well as the evolving requirements of the rating agencies and their importance to the overall risk management in a corporate setting. Filled with helpful tables and charts, Enterprise Risk Management offers a wealth of knowledge on the drivers, the techniques, the benefits, as well as the pitfalls to avoid, in successfully implementing enterprise risk management. Discusses the history of risk management and more recently developed enterprise risk management practices and how you can prudently implement these techniques within the context of your underlying business activities Provides coverage of topics such as the role of the chief risk officer, the use of anonymous voting technology, and risk indicators and their role in risk management Explores the culture and practices of enterprise risk management without getting bogged down by the mathematics surrounding the more conventional approaches to financial risk management This informative guide will help you unlock the incredible potential of enterprise risk management, which has been described as a proxy for good management.

Fostering Innovation and Competitiveness With FinTech, RegTech, and SupTech

Author : Boitan, Iustina Alina,Marchewka-Bartkowiak, Kamilla
Publisher : IGI Global
Page : 313 pages
File Size : 48,7 Mb
Release : 2020-09-11
Category : Business & Economics
ISBN : 9781799843917

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Fostering Innovation and Competitiveness With FinTech, RegTech, and SupTech by Boitan, Iustina Alina,Marchewka-Bartkowiak, Kamilla Pdf

Due to the emergence of innovative technologies, various professional fields are transforming their traditional business practices. Specifically, the financial and legal markets are experiencing this digital transformation as professionals and researchers are finding ways to improve efficiency, personalization, and security in these economic sectors. Significant research is needed to keep pace with the continuous advancements that are taking place in finance. Fostering Innovation and Competitiveness with FinTech, RegTech, and SupTech provides emerging research exploring the theoretical and practical aspects of technologically innovative mechanisms and applications within the financial, economic, and legal markets. Featuring coverage on a broad range of topics such as crowdfunding platforms, crypto-assets, and blockchain technology, this book is ideally designed for researchers, economists, practitioners, policymakers, analysts, managers, executives, educators, and students seeking current research on the strategic role of technology in the future development of financial and economic activity.

Bank Asset and Liability Management

Author : Hong Kong Institute of Bankers (HKIB)
Publisher : John Wiley & Sons
Page : 160 pages
File Size : 45,8 Mb
Release : 2018-02-21
Category : Business & Economics
ISBN : 9780470827536

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Bank Asset and Liability Management by Hong Kong Institute of Bankers (HKIB) Pdf

An in-depth look at how banks and financial institutions manage assets and liabilities Created for banking and finance professionals with a desire to expand their management skillset, this book focuses on how banks manage assets and liabilities, set up governance structures to minimize risks, and approach such critical areas as regulatory disclosures, interest rates, and risk hedging. It was written by the experts at the world-renowned Hong Kong Institute of Bankers, an organization dedicated to providing the international banking community with education and training. Explains bank regulations and the relationship with monetary authorities, statements, and disclosures Considers the governance structure of banks and how it can be used to manage assets and liabilities Offers strategies for managing assets and liabilities in such areas as loan and investment portfolios, deposits, and funds Explores capital and liquidity, including current standards under Basel II and Basel III, funding needs, and stress testing Presents guidance on managing interest rate risk, hedging, and securitization