New Research In Corporate Finance And Banking

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New Research in Corporate Finance and Banking

Author : Bruno Biais,Marco Pagano
Publisher : Oxford University Press, USA
Page : 396 pages
File Size : 46,6 Mb
Release : 2002
Category : Business & Economics
ISBN : 0199243239

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New Research in Corporate Finance and Banking by Bruno Biais,Marco Pagano Pdf

This text is a reflection of research carried out by European scholars into financial economics. Topics discussed include asset pricing in the context of perfect markets, take-over bids, and the interplay between banks and financial markets.

Empirical Research in Banking and Corporate Finance

Author : Stephen P. Ferris,Kose John,Anil K. Makhija
Publisher : Emerald Group Publishing
Page : 171 pages
File Size : 42,8 Mb
Release : 2022-09-12
Category : Business & Economics
ISBN : 9781789733990

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Empirical Research in Banking and Corporate Finance by Stephen P. Ferris,Kose John,Anil K. Makhija Pdf

Empirical Research in Banking and Corporate Finance is the 21st volume of Advances in Financial Economics and deals with International Corporate Governance. Explored in detail are the role of corporate cultures, social responsibility, stock liquidity, securitization, leveraged buyouts and the cost of private debt.

New Challenges for the Banking Industry

Author : Santiago Carbó-Valverde,Pedro J. Cuadros-Solas
Publisher : Springer Nature
Page : 351 pages
File Size : 45,7 Mb
Release : 2023-07-18
Category : Business & Economics
ISBN : 9783031329319

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New Challenges for the Banking Industry by Santiago Carbó-Valverde,Pedro J. Cuadros-Solas Pdf

This book aims to enrich the banking and finance literature by gathering insights in new research topics being undertaken in the aftermath of the Covid-19 pandemic. The book spans all the major research fields in finance and banking with a particular focus on corporate governance, sustainability and innovation. The book brings together academics at a range of European universities and stems from research presented at the 2022 Annual Conference of the Wolpertinger Club. The first part focuses on the impact of banks’ corporate governance practice on their performance, including pay gaps as well as diversity and ESG policies. The second part examines how banks are conducting their green transition with topics including reputational risk, greenwashing, green bonds, and ESG scores. The final section of the book considers the role of digitalization and innovative technologies in creating unprecedented disruption in the banking sector. This edited collection is valuable to those researching in finance, banking and business, as well as policymakers and operational decision makers at financial institutions.

Corporate Governance and Corporate Finance

Author : Ruud A.I. van Frederikslust,James S. Ang,P.S. Sudarsanam
Publisher : Routledge
Page : 1313 pages
File Size : 53,5 Mb
Release : 2007-12-18
Category : Business & Economics
ISBN : 9781134136049

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Corporate Governance and Corporate Finance by Ruud A.I. van Frederikslust,James S. Ang,P.S. Sudarsanam Pdf

Ruud. A. I. van Frederikslust, Associate Professor of Finance, Rotterdam School of Management, Erasmus University Rotterdam James S. Ang, Bank of America Eminent Scholar, Professor of Finance, College of Business, The Florida State University Sudi Sudarsanam, Professor of Finance & Corporate Control, School of Management, Cranfield University Ruud. A. I. van Frederikslust, Associate Professor of Finance, Rotterdam School of Management, Erasmus University Rotterdam. He joined Rotterdam School of Management as Associate Professor of Finance 1984 from the Inter-University Graduate School of Management, The Netherlands, where he was Associate Professor of Finance. He is author of the work Predictability of Corporate Failure (Kluwer Academic Publishers). And editor in chief of the volume of collection: Mergers & Acquisitions (in Dutch) and of the volume Corporate Restructuring and Recovery (in Dutch) (Reed Elsevier LexisNexis). He has participated in the organizations of leading conferences in Europe and the USA and presented there also numerous research papers at the conferences. He has published in leading journals like the Multinational Finance Journal and the Journal of Financial Transformation. He was a member of the Board of the European Finance Association. James S. Ang, Bank of America Eminent Scholar, Professor of Finance, College of Business, Florida State University. He joined the College of Business, of Florida State University as a Professor of Finance in 1998 from Barnett Bank Chair Professor of Finance, Florida State University. His main areas of research interest are amongst others, in corporate restructuring, corporate governance and control. He has published extensively in leading academic journals like Journal of Corporate Finance, Journal of Financial Economics, Journal of Finance, The Bell Journal of Economics, Journal of Financial and Quantitative Analysis, Journal of Money, Credit and Banking, and The Review of Economics and Statistics. And he is a member (current and past) of the Editorial Board of several of these Journals. He is amongst others a member of the Board of Trustees of the Financial Management Association and formerly he was a member of the Board of Directors of the European Financial Management Association. Sudi Sudarsanam, Professor of Finance & Corporate Control, School of Management, Cranfield University. He joined Cranfield as Professor of Finance and Corporate Control on the 1 January 2000 from City University Business School where he was Professor of Finance and Accounting. His original commercial background was in banking and international trade finance. Sudi’s main areas of research interest are in corporate restructuring, mergers and acquisitions and corporate strategy, adopting a multidisciplinary approach. He is one of the leading authorities on mergers and acquisitions in Europe and author of The Essence of Mergers and Acquisitions (Prentice Hall), translated into five European and Asian languages. His recent book, Creating value from mergers and acquisitions: the challenges, an international and integrated perspective (FT Prentice Hall, 2003, pp613) has been widely acclaimed by both academics and practitioners and is considered a standard work on M & A. He has been a visiting professor at US and European business schools. He has been an expert commentator on mergers and acquisitions on radio and television and in the print media. Sudi has also published articles in top US and European journals on corporate restructuring, corporate governance and valuation of intellectual assets.

Bank Supervision and Corporate Finance

Author : Thorsten Beck,Ross Levine,Asl? Demirgüç-Kunt
Publisher : World Bank Publications
Page : 52 pages
File Size : 40,8 Mb
Release : 2003
Category : Banks and banking
ISBN : 8210379456XXX

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Bank Supervision and Corporate Finance by Thorsten Beck,Ross Levine,Asl? Demirgüç-Kunt Pdf

We examine the impact of bank supervision on the financing obstacles faced by almost 5,000 corporations across 49 countries. We find that firms in countries with strong official supervisory agencies that directly monitor banks tend to face greater financing obstacles. Moreover, powerful official supervision tends to increase firm reliance on special connections and corruption in raising external finance, which is consistent with political/regulatory capture theories. Creating a supervisory agency that is independent of the government and banks mitigates the adverse consequences of powerful supervision. Finally, we find that bank supervisory agencies that force accurate information disclosure by banks and enhance private monitoring tend to ease the financing obstacles faced by firms.

Corporate Governance and Accountability of Financial Institutions

Author : Jonas Abraham Akuffo
Publisher : Springer Nature
Page : 428 pages
File Size : 49,5 Mb
Release : 2021-01-06
Category : Business & Economics
ISBN : 9783030640460

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Corporate Governance and Accountability of Financial Institutions by Jonas Abraham Akuffo Pdf

The presence of sound corporate governance in a financial institution is important in maintaining the confidence of both the market and the public. The power that corporate governance holds over the success of some of the largest financial institutions in the world is not to be downplayed. This book methodically assesses the quality of corporate governance and mechanisms of accountability disclosures to various stakeholders. It is further intended to provide fresh insights into some specific corporate governance recommendations to help improve good governance in financial institutions, particularly in the United Kingdom and the EU but will also be applicable to other major economies. It explores what, when and how corporate governance has changed the financial institution functions and corporate executive behaviour by critically reviewing the pre- and post-financial crisis theoretical and empirical literature. Increasingly driven by the nature of complications, complexities and opacity in the operations of financial systems, corporate governance reporting plays an important role in the financial sector. It will provide insights into corporate governance disclosures over a long-term basis. This book should be a valuable asset to support the research of practitioners, students and all academics due to its stimulating and reflective insights into this fascinating topic.

Valuing Banks

Author : Federico Beltrame,Daniele Previtali
Publisher : Palgrave Macmillan
Page : 0 pages
File Size : 52,6 Mb
Release : 2016-07-08
Category : Business & Economics
ISBN : 1137561416

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Valuing Banks by Federico Beltrame,Daniele Previtali Pdf

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. The book includes also a constructive comparison of equity and asset side methods. The authors present a novel framework entitled, the “Asset Mark-down Model”. This method incorporates an Adjusted Present Value model, which allows practitioners to identify the main value creation sources of a particular bank: from asset-based cash flow and the mark-down on deposits, to tax benefits on bearing liabilities. Through the implementation of this framework, the authors offer a more accurate and more specific approach to valuing banks.

Corporate Governance in the Banking Sector

Author : Bruno Buchetti,Alessandro Santoni
Publisher : Springer Nature
Page : 163 pages
File Size : 40,7 Mb
Release : 2022-05-11
Category : Business & Economics
ISBN : 9783030975753

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Corporate Governance in the Banking Sector by Bruno Buchetti,Alessandro Santoni Pdf

This book gives an overview of the most important theories on Corporate Governance, investigating the myth and the reality of it. It argues that within the banking sector exist two new agency costs (i.e., bank depositors and shareholders vs. directors and bank depositors vs. shareholders and directors). These agency problems are difficult to reduce for two reasons. First, banks are complex and opaque. Second, government implicit guarantees and the deposit insurance systems reduce the monitoring of depositors. This book also takes a deep dive into research on CG in the banking sector via a unique and innovative literature review covering the time period between 2000-2020. It finds that some specific CG characteristics affect banks: risk appetite, performance, accounting quality, compensation and corporate social responsibility disclosure. Furthermore, this publication contends that institutional investors are changing CG for the better, describing how major financial markets factors such as rating agencies and sell-side financial analysts make CG visible. Additionally, it investigates how managerial biases and irrational investors can affect CG negatively, leading to company distress. All-in-all, this book makes a threefold contribution: for regulators, it offers suggestions on how to improve banks’ supervision; for researchers, it suggests new research topics; and for practitioners, it connects CG theory with real cases of CG failure.

New Trends in Finance and Accounting

Author : David Procházka
Publisher : Springer
Page : 850 pages
File Size : 41,7 Mb
Release : 2016-12-25
Category : Business & Economics
ISBN : 9783319495590

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New Trends in Finance and Accounting by David Procházka Pdf

This book presents the most current trends in the field of finance and accounting from an international perspective. Featuring contributions presented at the 17th Annual Conference on Finance and Accounting at the University of Economics in Prague, this title provides a mix of research methods used to uncover the hidden consequences of accounting convergence in the private (IFRS) and public sectors (IPSAS). Topics covered include international taxation (from both the micro- and macroeconomic level), international investment, monetary economics, risk management, management accounting, auditing, investment capital, corporate finance and banking, among others. The global business environment shapes the international financial flows of finance and the demand for international harmonization of accounting. As such, the field of global finance and accounting has encountered some new challenges. For example, policy-makers and regulators are forced to restructure their tools to tackle with new features of trading at global capital markets and international investment. This book complements this global view of development with country-specific studies, focusing on emerging and transitioning economies, which are affected indirectly and in unforeseen ways. The combination of global perspective and local specifics makes this volume attractive and useful to academics, researchers, regulators and policy-makers in the field of finance and accounting.

Continuous-Time Models in Corporate Finance, Banking, and Insurance

Author : Santiago Moreno-Bromberg,Jean-Charles Rochet
Publisher : Princeton University Press
Page : 223 pages
File Size : 44,6 Mb
Release : 2018-01-08
Category : Business & Economics
ISBN : 9780691176529

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Continuous-Time Models in Corporate Finance, Banking, and Insurance by Santiago Moreno-Bromberg,Jean-Charles Rochet Pdf

Continuous-Time Models in Corporate Finance synthesizes four decades of research to show how stochastic calculus can be used in corporate finance. Combining mathematical rigor with economic intuition, Santiago Moreno-Bromberg and Jean-Charles Rochet analyze corporate decisions such as dividend distribution, the issuance of securities, and capital structure and default. They pay particular attention to financial intermediaries, including banks and insurance companies. The authors begin by recalling the ways that option-pricing techniques can be employed for the pricing of corporate debt and equity. They then present the dynamic model of the trade-off between taxes and bankruptcy costs and derive implications for optimal capital structure. The core chapter introduces the workhorse liquidity-management model—where liquidity and risk management decisions are made in order to minimize the costs of external finance. This model is used to study corporate finance decisions and specific features of banks and insurance companies. The book concludes by presenting the dynamic agency model, where financial frictions stem from the lack of interest alignment between a firm's manager and its financiers. The appendix contains an overview of the main mathematical tools used throughout the book. Requiring some familiarity with stochastic calculus methods, Continuous-Time Models in Corporate Finance will be useful for students, researchers, and professionals who want to develop dynamic models of firms' financial decisions.

American Commercial Banks in Corporate Finance, 1929-1941

Author : Go Kang Tia
Publisher : Routledge
Page : 456 pages
File Size : 43,6 Mb
Release : 2012-11-12
Category : Business & Economics
ISBN : 9781136802836

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American Commercial Banks in Corporate Finance, 1929-1941 by Go Kang Tia Pdf

Through a systematic study of historical data, this book argues that a small group of New York banks, by means of term loans and working in close collaboration with their affiliated life insurance companies, exerted a strong influence over the supply of money and credit, and thus over the entire economy throughout the years of the depression. The book analyzes the growth of term loans under the depression, the concentration of the loans in a handful of powerful New York banks, the interplay between these banks and large life insurance companies in the capital market, and the resulting economic consequences. It also details the changes that took place in the leadership within the financial heirarchy during the depression: the J. D. Rockefeller interests replaced the Morgan-First National interests as the country's dominant financial power - a change that has escaped previous scholarly notice."

Financial Microeconometrics

Author : Marek Gruszczyński
Publisher : Springer Nature
Page : 228 pages
File Size : 53,5 Mb
Release : 2019-11-23
Category : Business & Economics
ISBN : 9783030342197

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Financial Microeconometrics by Marek Gruszczyński Pdf

This book explores new topics in modern research on empirical corporate finance and applied accounting, especially the econometric analysis of microdata. Dubbed “financial microeconometrics” by the author, this concept unites both methodological and applied approaches. The book examines how quantitative methods can be applied in corporate finance and accounting research in order to predict companies getting into financial distress. Presented in a clear and straightforward manner, it also suggests methods for linking corporate governance to financial performance, and discusses what the determinants of accounting disclosures are. Exploring these questions by way of numerous practical examples, this book is intended for researchers, practitioners and students who are not yet familiar with the variety of approaches available for data analysis and microeconometrics. “This book on financial microeconometrics is an excellent starting point for research in corporate finance and accounting. In my view, the text is positioned between a narrative and a scientific treatise. It is based on a vast amount of literature but is not overloaded with formulae. My appreciation of financial microeconometrics has very much increased. The book is well organized and properly written. I enjoyed reading it.” Wolfgang Marty, Senior Investment Strategist, AgaNola AG

Corporate Governance and Regulatory Impact on Mergers and Acquisitions

Author : Greg N. Gregoriou,Luc Renneboog
Publisher : Elsevier
Page : 304 pages
File Size : 45,5 Mb
Release : 2007-07-26
Category : Business & Economics
ISBN : 9780080549323

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Corporate Governance and Regulatory Impact on Mergers and Acquisitions by Greg N. Gregoriou,Luc Renneboog Pdf

Corporate Governance and regulatory presssures have been much in the news lately. How they affect the bottom line of corporations has been difficult to quantify, and research is just beginning to be published that addresses this crucial question. This book is the first collection for new research about the impact of takeover regulation and corporate governance on M&A financial results. It will be essential reading to any M&A specialist, an investment banker, a hedge fund manager, a private equity director, or a venture capitalist. Also a must read for financial analysts who follow M&A targets. The book presents research from around the world so it provides a global perspective on this important topic. *The first and only book of research on takeover regulation and corporate governance affecting M&A results*Stands out from all the "How to" books on M&A and M&A disaster books because it provides solid high-quality research on what works and how different decisions affect company and shareholder value*Research provides a guideline for decisionmakers in investment banks, private equity companies, and for financial analysts

Bank CEOs

Author : Claudia Curi,Maurizio Murgia
Publisher : Springer
Page : 56 pages
File Size : 40,7 Mb
Release : 2018-05-22
Category : Business & Economics
ISBN : 9783319908663

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Bank CEOs by Claudia Curi,Maurizio Murgia Pdf

This book thoroughly explores the characteristics and importance of bank CEOs against the backdrop of growing awareness of the social implications of CEO behavior for the performance and stability of the financial and economic system. After an introductory section on the relevance of CEOs in the banking industry, the connections between the bank CEO labor market, contractual incentives, and compensation structures are examined. The focus then turns to empirical findings concerning the impact that bank CEO compensation has on various firm-level outcomes, such as bank performance and strategies. In addition, the relation between CEO turnover and changes in compensation policies since the financial crisis is discussed. A concluding section presents some fresh empirical evidence deriving from an up-to-date database of traits of CEOs operating in the largest European banks. For PhD students and academics, the surveys offer detailed roadmaps on the empirical research landscape and provide suggestions for future work. The writing style ensures that the content will be readily accessible to all industry practitioners.

Rethinking Finance in the Face of New Challenges

Author : David Bourghelle,Roland Pérez,Philippe Rozin
Publisher : Emerald Group Publishing
Page : 313 pages
File Size : 45,7 Mb
Release : 2021-10-25
Category : Business & Economics
ISBN : 9781801177887

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Rethinking Finance in the Face of New Challenges by David Bourghelle,Roland Pérez,Philippe Rozin Pdf

Rethinking Finance in the Face of New Challenges provides an overview of the new research perspectives devoted to financial activity, reconsidering the opposition between orthodox and heterodox schools of finance.