Crisis, risk and stability in financial markets
Author(s)
Bibliographic Information
Crisis, risk and stability in financial markets
(Palgrave Macmillan studies in banking and financial institutions)
Palgrave Macmillan, 2013
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Note
Includes bibliographical references and index
Description and Table of Contents
Description
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.
Table of Contents
- Introduction
- J.F.de Guevara & J.M.Pastor Financial Stability and Economic Growth
- S.C.Valverde & L.Pedauga Financial Crisis and EU Banks' Performance
- T.Lindblom & M.Willesson Diversification, Diversity and Systemic Risk in European Banking
- P.Morelli , G.B.Pittaluga & E.Seghezza Basel III, Pillar 2: The Role of Banks' Internal Control Systems
- E.Gualandri Shadow Banking and Systemic Risk: In Search for Regulatory Solutions
- G.A.Vento & P.la Ganga Social Lending in Europe: Structures, Regulation and Pricing Models
- M.La Torre & F.Mango Banks Ratings, Financial Crisis and Size of the Entities
- C.Salvador , J.M.Pastor & J.F.de Guevara Stock Exchanges Mergers at the Aftermath of the Crisis. New Insights
- M.Polato & J.Floreani Sustainability and Financial Inclusion on the Microinsurance
- M.de la Cuesta , C.Ruza & F.J.Garayoa
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