Palgrave Macmillan Studies In Banking And Financial Institutions

Palgrave Macmillan Studies In Banking And Financial Institutions Book in PDF, ePub and Kindle version is available to download in english. Read online anytime anywhere directly from your device. Click on the download button below to get a free pdf file of Palgrave Macmillan Studies In Banking And Financial Institutions book. This book definitely worth reading, it is an incredibly well-written.

The Myth of Too Big To Fail

Author : I. Moosa
Publisher : Springer
Page : 223 pages
File Size : 41,6 Mb
Release : 2010-10-27
Category : Business & Economics
ISBN : 9780230295056

Get Book

The Myth of Too Big To Fail by I. Moosa Pdf

The book presents arguments against the taxpayers'-funded bailing out of failed financial institutions, and puts forward suggestions to circumvent the TBTF problem, including some preventive measures. It ultimately argues that a failing financial institution should be allowed to fail without fearing an apocalyptic outcome.

New Issues in Financial and Credit Markets

Author : Franco Fiordelisi,Philip Molyneux,Daniele Previati
Publisher : Springer
Page : 218 pages
File Size : 44,7 Mb
Release : 2010-10-06
Category : Business & Economics
ISBN : 9780230302181

Get Book

New Issues in Financial and Credit Markets by Franco Fiordelisi,Philip Molyneux,Daniele Previati Pdf

This collection of conference papers presents a contemporary insight into key trends impacting on the global financial sector post crisis and highlights new policy and research areas affecting banks and other financial institutions. The four main themes are: financial crises, credit activity, capital markets and risk management.

Banking Business Models

Author : Rym Ayadi
Publisher : Springer
Page : 200 pages
File Size : 50,6 Mb
Release : 2019-04-23
Category : Business & Economics
ISBN : 9783030022488

Get Book

Banking Business Models by Rym Ayadi Pdf

This book is a result of several years of research to provide readers with a novel and comprehensive analysis on business models in banking, essential to understanding bank businesses pre- and post- financial crisis and how they evolve in the financial system. This book will provide depositors, creditors, credit rating agencies, investors, regulators, supervisors, and other market participants with a comprehensive analytical framework and analysis to better understand the nature of risk attached to the bank business models and its contribution to systemic risk throughout the economic cycle. The book will also guide post-graduate students and researchers delving into this topic.

Bank Performance, Risk and Firm Financing

Author : P. Molyneux
Publisher : Palgrave Macmillan
Page : 0 pages
File Size : 50,5 Mb
Release : 2011-07-26
Category : Business & Economics
ISBN : 0230313353

Get Book

Bank Performance, Risk and Firm Financing by P. Molyneux Pdf

This text comprises a selection of papers that provide state of the art insights into bank performance, risk and firm financing post crisis that were presented at the European Association of University Teachers of Banking and Finance Conference (otherwise known as the Wolpertinger Conference) held at Bangor University, Wales, 2010.

Banking and Financial Markets

Author : Andrada Bilan,Hans Degryse,Kuchulain O’Flynn,Steven Ongena
Publisher : Springer Nature
Page : 221 pages
File Size : 53,8 Mb
Release : 2019-11-13
Category : Business & Economics
ISBN : 9783030268442

Get Book

Banking and Financial Markets by Andrada Bilan,Hans Degryse,Kuchulain O’Flynn,Steven Ongena Pdf

The traditional role of a bank was to transfer funds from savers to investors, engaging in maturity transformation, screening for borrower risk and monitoring for borrower effort in doing so. A typical loan contract was set up along six simple dimensions: the amount, the interest rate, the expected credit risk (determining both the probability of default for the loan and the expected loss given default), the required collateral, the currency, and the lending technology. However, the modern banking industry today has a broad scope, offering a range of sophisticated financial products, a wider geography -- including exposure to countries with various currencies, regulation and monetary policy regimes -- and an increased reliance on financial innovation and technology. These new bank business models have had repercussions on the loan contract. In particular, the main components and risks of a loan contract can now be hedged on the market, by means of interest rate swaps, foreign exchange transactions, credit default swaps and securitization. Securitized loans can often be pledged as collateral, thus facilitating new lending. And the lending technology is evolving from one-to-one meetings between a loan officer and a borrower, at a bank branch, towards potentially disruptive technologies such as peer-to-peer lending, crowd funding or digital wallet services. This book studies the interaction between traditional and modern banking and the economic benefits and costs of this new financial ecosystem, by relying on recent empirical research in banking and finance and exploring the effects of increased financial sophistication on a particular dimension of the loan contract.

Risk Tolerance in Financial Decision Making

Author : C. Lucarelli,G. Brighetti
Publisher : Springer
Page : 269 pages
File Size : 48,6 Mb
Release : 2010-12-03
Category : Business & Economics
ISBN : 9780230303829

Get Book

Risk Tolerance in Financial Decision Making by C. Lucarelli,G. Brighetti Pdf

This book sheds light on the emotional side of risk taking behaviour using an innovative cross-disciplinary approach, mixing financial competences with psychology and affective neuroscience. In doing so, it shows the implications for market participants and regulators in terms of transparency and communication between intermediaries and customers.

Valuing Banks

Author : Federico Beltrame,Daniele Previtali
Publisher : Springer
Page : 242 pages
File Size : 50,5 Mb
Release : 2016-06-27
Category : Business & Economics
ISBN : 9781137561428

Get Book

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.

Bancassurance in Europe

Author : Ornella Ricci
Publisher : Springer
Page : 229 pages
File Size : 40,5 Mb
Release : 2011-11-21
Category : Business & Economics
ISBN : 9780230358287

Get Book

Bancassurance in Europe by Ornella Ricci Pdf

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.

Spanish Money and Banking

Author : G. Tortella,J. García Ruiz,José Luis García Ruiz
Publisher : Springer
Page : 253 pages
File Size : 44,6 Mb
Release : 2013-10-22
Category : Business & Economics
ISBN : 9781137317131

Get Book

Spanish Money and Banking by G. Tortella,J. García Ruiz,José Luis García Ruiz Pdf

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

Modern Bank Behaviour

Author : Juan Fernández de Guevara Radoselovics,José Pastor Monsálvez
Publisher : Springer
Page : 241 pages
File Size : 48,9 Mb
Release : 2015-12-25
Category : Business & Economics
ISBN : 9781137001863

Get Book

Modern Bank Behaviour by Juan Fernández de Guevara Radoselovics,José Pastor Monsálvez Pdf

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.

Retail Credit Risk Management

Author : M. Anolli,E. Beccalli,T. Giordani
Publisher : Springer
Page : 236 pages
File Size : 40,7 Mb
Release : 2013-01-29
Category : Business & Economics
ISBN : 9781137006769

Get Book

Retail Credit Risk Management by M. Anolli,E. Beccalli,T. Giordani Pdf

Introducing the fundamentals of retail credit risk management, this book provides a broad and applied investigation of the related modeling theory and methods, and explores the interconnections of risk management, by focusing on retail and the constant reference to the implications of the financial crisis for credit risk management.

Financial Systems, Markets and Institutional Changes

Author : T. Lindblom,S. Sjögren,M. Willesson
Publisher : Springer
Page : 232 pages
File Size : 49,6 Mb
Release : 2014-07-29
Category : Business & Economics
ISBN : 9781137413598

Get Book

Financial Systems, Markets and Institutional Changes by T. Lindblom,S. Sjögren,M. Willesson Pdf

This book analyses how the financial system adjusts to institutional changes such as new technology, political tendencies, cultural differences, new business models, and government interactions. It emphasises how different institutional settings affect firms' borrowing and increases our understanding of how efficient financial markets are formed.

Bank Strategy, Governance and Ratings

Author : P. Molyneux
Publisher : Springer
Page : 307 pages
File Size : 40,5 Mb
Release : 2011-07-26
Category : Business & Economics
ISBN : 9780230313866

Get Book

Bank Strategy, Governance and Ratings by P. Molyneux Pdf

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.

Institutional Diversity in Banking

Author : Ewa Miklaszewska
Publisher : Springer
Page : 285 pages
File Size : 53,9 Mb
Release : 2016-12-20
Category : Business & Economics
ISBN : 9783319420738

Get Book

Institutional Diversity in Banking by Ewa Miklaszewska Pdf

This book offers a comparative analysis of how post-crisis restructuring has affected the evolution and prospects of small, locally-oriented banks. The discussion focuses specifically on “small” European countries; that is, countries with diversified banking systems, with a strong presence of cooperative and other forms of local banks. Such countries include highly developed economies like Italy and emerging European economies, such as Poland. The authors stress the unique importance of local banks in generating credit for both households and firms, and hence in contributing to overall economic growth. Chapters cohere around the argument that although smaller banks fared better than their larger counterparts the recent financial crisis, they have been directly and indirectly discriminated against in post-crisis restructuring schemes, and, as such, face many operational and strategic challenges today. The contributors are a distinguished group of researchers with expert knowledge of the competitive positions of and opportunities for locally oriented banks, who combine theoretical and empirical perspectives on these topics.