Content
2022
- 405-429 Sustainable Finance and Banking in Africa
In: The Economics of Banking and Finance in Africa
by Lordina Amoah & Gloria Clarissa O. Dzeha & Thankom Arun - 431-451 Islamic Banking and Finance in Africa
In: The Economics of Banking and Finance in Africa
by Amin Karimu & Samuel Salia & Abdul-Jalil Ibrahim & Imhotep Paul Alagidede - 455-490 Explaining Banking Failures in Africa
In: The Economics of Banking and Finance in Africa
by Joshua Yindenaba Abor & Sam Mensah & Baah Aye Kusi & David Mathuva - 491-514 Cross-Border Banking and Banking Crisis in Africa
In: The Economics of Banking and Finance in Africa
by Charles Komla Delali Adjasi & Isaac Ofoeda & Khadijah Iddrisu & Foluso Akinsola - 515-554 Cross-Border Banking, Bank Pricing and Financial Inclusion in Africa
In: The Economics of Banking and Finance in Africa
by Mohammed Amidu & Aisha Mohammed Sissy & Joshua Yindenaba Abor & Simon Wolfe - 555-577 Current Issues in Global Banking and Implications for African Banks
In: The Economics of Banking and Finance in Africa
by Vera Fiador & Kannyiri Thadious Banyen & Mohammed Amidu & Victor Murinde - 581-603 Risk Management and Compliance in Banking in Africa
In: The Economics of Banking and Finance in Africa
by Joseph Oscar Akotey & Emmanuel Sarpong-Kumankoma & Kwamina Koranteng Asomaning & Oluseye Samuel Ajuwon - 605-657 Corporate Governance, Regulations and Banking Stability in Africa
In: The Economics of Banking and Finance in Africa
by Elikplimi Komla Agbloyor & Baah Aye Kusi & Patience Aseweh Abor & Collins G. Ntim - 659-709 Macro-Prudential Regulation, Monetary Policy and Systemic Banking Crises in Africa
In: The Economics of Banking and Finance in Africa
by Joshua Yindenaba Abor & Daniel Ofori-Sasu & Joseph G. Nellis & Christopher J. Green - 711-744 Recent Developments in Banking Regulation and Supervision in Africa
In: The Economics of Banking and Finance in Africa
by Jessie A. Abugre & Roseline Misati & Iwa Salami & Stephen Antwi - 745-794 Playing-Catch Up: SupTech and RegTech Developments in Africa
In: The Economics of Banking and Finance in Africa
by Maxwell Opoku-Afari & James Atambilla Abugre & Kwame A. Oppong - 797-827 Sustainability, Growth and Impact of Microfinance Institutions in Africa
In: The Economics of Banking and Finance in Africa
by Elikplimi Komla Agbloyor & Simplice A. Asongu & Peter W. Muriu & Alfred Yawson - 829-859 Insurance Markets in Africa
In: The Economics of Banking and Finance in Africa
by Richard Addae-Manu & Michael Graham - 861-894 Pension Markets in Africa
In: The Economics of Banking and Finance in Africa
by Kathryn A. A. O. Assefuah & Nthabiseng Moleko & Joshua Yindenaba Abor - 895-928 On the Determinants of Stock Market Development in Africa
In: The Economics of Banking and Finance in Africa
by Charles Komla Delali Adjasi & Jabir Ibrahim Mohammed & Joseph Dery Nyeadi & Sunil K. Bundoo - 929-963 Bond Market Development in Africa: A Review
In: The Economics of Banking and Finance in Africa
by Isaac Otchere & Daniel Ofori-Sasu & Joshua Yindenaba Abor - 965-985 Private Capital Flows, Domestic Financial Markets and Energy Use in Africa
In: The Economics of Banking and Finance in Africa
by Jephthah O. Osei & Joseph Abor & Patricia A. Ojangole & Joshua Yindenaba Abor - 987-1012 Foreign Direct Investment, Stock Market Development, and Inclusive Growth in Selected Sub-Saharan African Countries
In: The Economics of Banking and Finance in Africa
by Saint Kuttu & William Coffie & Chimwemwe Chipeta & Ekow Afedzie - 1013-1037 The COVID-19 Pandemic and Africa’s Financial Systems: How Do We Reform Post-COVID-19 Financial Systems?
In: The Economics of Banking and Finance in Africa
by Joshua Yindenaba Abor & Elikplimi Komla Agbloyor & George N. Agyekum Donkor & Angela A. Alu
2021
- 1-19 Introduction
In: Financial Markets Evolution
by Galina Panova - 21-32 Financial Markets: Current Trends and Factors that Determine the Functioning of Financial and Credit Institutions
In: Financial Markets Evolution
by Irina Yarygina & Tural Mamedov - 33-48 Paradoxes of Financial Market Institutions: Traditions and Ecosystems
In: Financial Markets Evolution
by Galina Panova - 49-64 The Role of Financial Intermediaries in Digital Economy Development (Chapter23)
In: Financial Markets Evolution
by Alla Dvoretskaya & Aibota Rakhmetova & Gaukhar Kalkabayeva - 65-75 Internationalization of Financial Markets: World Financial Centres
In: Financial Markets Evolution
by Vitalii Klevtcov & Artem Zamlelyy - 77-96 New Challenges for Financial Market Infrastructure Risk Management Systems
In: Financial Markets Evolution
by Dmitry Panov - 97-108 Payment Systems in Digital Economy
In: Financial Markets Evolution
by Aleksei Bolonin & Vladimir Balykin - 109-117 Role of National Currencies in Transforming International Monetary System
In: Financial Markets Evolution
by Vladimir Shapovalov - 119-128 Monetary Policy: Global Trends and the Development of Bank of Russia’s Approaches
In: Financial Markets Evolution
by Veronika Zagoyti - 129-141 Financial Innovations, Financial Engineering and Financial Technologies: Risks or New Opportunities? Innovations and New Financial Technologies in the Practice of Banking
In: Financial Markets Evolution
by Aleksei Bolonin & Igor Turuev & Vladimir Balykin - 143-153 Banks and Banking: New Trends and Challenges
In: Financial Markets Evolution
by Marco Ricceri & Valentina Tarkovska & Irina Yarygina - 155-175 Transnational and Regional Banks
In: Financial Markets Evolution
by Elena K. Volkova - 177-186 Analysis of Banks with State Participation Functioning the Role of Development Banks in the Global and National Dimensions
In: Financial Markets Evolution
by Vitalii Klevtcov & Artem Zamlelyy - 187-198 Insurance Companies: Prospective Business Models
In: Financial Markets Evolution
by Natalia Adamchuk & Vladimir Osipov & Lyudmila Tsvetkova - 199-211 Insurance of Financial and Credit Institutions
In: Financial Markets Evolution
by Natalia Adamchuk & Vladimir Osipov & Lyudmila Tsvetkova - 213-221 Pension Funds and Prospects for Reforming the Russian Pension System as a Condition for the Qualitative Implementation of the State’s Social Policy
In: Financial Markets Evolution
by Aleksei Bolonin - 223-233 Microfinance Organizations in Russia and Abroad
In: Financial Markets Evolution
by Ksenia Trushina & Olesya Gracheva - 235-247 Sustainability Trend in Russian Banking Sector
In: Financial Markets Evolution
by Amin Babazade - 249-260 Responsible Principles in Banks: Short-Term Trend or Inevitability?
In: Financial Markets Evolution
by Inal Kishmariya - 261-271 Managing the Risks of Financial Intermediaries: Transforming Approaches and Reality
In: Financial Markets Evolution
by Dmitry Panov & Irina Larionova - 273-284 Problems of Ensuring the Financial Stability of Financial and Credit Institutions in the Digital Economy
In: Financial Markets Evolution
by Irina Larionova & Dmitry Panov - 285-297 Crisis Regulation by Financial Intermediaries
In: Financial Markets Evolution
by Irina Larionova & Kirill Gorelikov - 299-311 Banking Stress Testing
In: Financial Markets Evolution
by Elena Meshkova - 313-325 Mega-Regulation of Financial Markets
In: Financial Markets Evolution
by Vitalii Klevtcov & Artem Zamlelyy - 327-338 Conclusion
In: Financial Markets Evolution
by Galina Panova
2020
- 1-1 Correction to: Risk and Regulation in Euro Area Banks
In: Risk and Regulation in Euro Area Banks
by Francesca Arnaboldi - 1-1 Correction to: Formulating the Risk Management Competency Development Indicators
In: Risk Management Competency Development in Banks
by Eric H. Y. Koh - 1-6 Introduction by the Editors
In: Banking and Beyond
by Caterina Cruciani & Gloria Gardenal & Elisa Cavezzali - 3-61 The Functions of Central Banks and Definition of European Central Banking Law
In: European Central Banking Law
by Christos V. Gortsos - 9-25 ECB and FED Governors’ Speeches: A Topic Modeling Analysis (2007–2019)
In: Banking and Beyond
by Marika Carboni & Vincenzo Farina & Daniele A. Previati - 27-48 Analyzing Policy Options in the Resolution of Systemically Important Banks: Comparing the “Bailout” and “Bail-In” Tool in Selected Case Studies
In: Banking and Beyond
by Ewa Miklaszewska & Jan Pys - 49-73 Recent Innovation in the Regulation of Covered Bonds in Europe: Who Will Benefit from the New Legislative Framework?
In: Banking and Beyond
by Giusy Chesini & Elisa Giaretta - 63-103 The Establishment of the European System of Central Banks and the Eurosystem
In: European Central Banking Law
by Christos V. Gortsos - 75-104 Subordinated Debt and Banking Regulation: An Overview
In: Banking and Beyond
by Giulio Velliscig & Josanco Floreani & Maurizio Polato - 105-135 The Impact of Monetary Policy on Bank Profitability
In: Banking and Beyond
by Paula Cruz-García - 105-140 The Establishment of the European System of Financial Supervision
In: European Central Banking Law
by Christos V. Gortsos - 139-168 The Value Drivers of the Italian Asset Management Industry: An Inquiry on the Systematic Risk Drivers
In: Banking and Beyond
by Andrea Ferrarin & Josanco Floreani & Maurizio Polato - 141-182 The Establishment of the (European) Banking Union
In: European Central Banking Law
by Christos V. Gortsos - 169-190 Signaling Success Factors in Alternative Entrepreneurial Finance
In: Banking and Beyond
by Francesca Battaglia & Francesco Busato & Maria Manganiello - 185-243 The Systems and Mechanisms of the European Central Bank and National Central Banks
In: European Central Banking Law
by Christos V. Gortsos - 191-213 Business Models in the Lending-Based Crowdfunding Industry
In: Banking and Beyond
by Stefano Cosma & Francesco Pattarin & Daniela Pennetta - 215-236 The Italian Minibonds Experience in Triveneto
In: Banking and Beyond
by Nicola Carta & Caterina Cruciani - 237-256 Start-Ups Beyond the Crisis: A Survival Analysis
In: Banking and Beyond
by Giulia Baschieri & Giorgio S. Bertinetti & Gloria Gardenal - 245-278 Institutional Aspects of the European Central Bank
In: European Central Banking Law
by Christos V. Gortsos - 281-329 The Basic Tasks of the European Central Bank Within the Eurosystem and Issuance of Banknotes and Coins
In: European Central Banking Law
by Christos V. Gortsos - 331-370 The Specific Supervisory Tasks of the European Central Bank and Its Cooperation with National Competent Authorities
In: European Central Banking Law
by Christos V. Gortsos - 371-404 Other Specific Tasks and Competences of the European Central Bank Relating to Financial Stability
In: European Central Banking Law
by Christos V. Gortsos - 407-432 Concluding Remarks
In: European Central Banking Law
by Christos V. Gortsos - 433-451 Assessments and Proposals
In: European Central Banking Law
by Christos V. Gortsos
2019
- 1-4 Introduction
In: Banking and Financial Markets
by Andrada Bilan & Hans Degryse & Kuchulain O’Flynn & Steven Ongena - 1-4 Introduction
In: Banking Business Models
by Rym Ayadi - 1-5 Correction to: Banking Business Models
In: Banking Business Models
by Rym Ayadi - 1-5 Introducing the FinTech Revolution
In: FinTech, BigTech and Banks
by Alessandra Tanda & Cristiana-Maria Schena - 1-14 Introduction
In: The Regulation of Mobile Money
by Sunduzwayo Madise - 1-15 Introduction
In: Risk Management Competency Development in Banks
by Eric H. Y. Koh - 1-19 The Euro Area Banking System: Where Do We Stand?
In: Risk and Regulation in Euro Area Banks
by Francesca Arnaboldi - 1-22 Bank Management After the Great Crisis
In: Banking in Europe
by Mariarosa Borroni & Simone Rossi - 1-23 Introduction
In: The Lost Art of Banking
by Aisling Tuite - 1-63 The Theoretical Background of Co-operative Banking
In: Co-operative Banking Networks in Europe
by Federica Poli - 3-41 Nobel Prize in Economic Sciences: The Role of Financial Studies
In: Frontier Topics in Banking
by Gianfranco Vento & Paola Vezzani - 5-20 Changing Role of Banks in the Financial System
In: Banking Business Models
by Rym Ayadi - 5-30 Securitization and Lending
In: Banking and Financial Markets
by Andrada Bilan & Hans Degryse & Kuchulain O’Flynn & Steven Ongena - 7-36 FinTech Activities and Business Models: Analogies and Differences with the Traditional Financial Channels
In: FinTech, BigTech and Banks
by Alessandra Tanda & Cristiana-Maria Schena - 15-61 Introduction to Money
In: The Regulation of Mobile Money
by Sunduzwayo Madise - 17-32 Formulating the Risk Management Competency Development Indicators
In: Risk Management Competency Development in Banks
by Eric H. Y. Koh - 21-38 Defining a Business Model in Banks
In: Banking Business Models
by Rym Ayadi - 21-41 The Main Challenges Facing the Euro Area Banking System
In: Risk and Regulation in Euro Area Banks
by Francesca Arnaboldi - 23-53 Bank Profitability: Measures and Determinants
In: Banking in Europe
by Mariarosa Borroni & Simone Rossi - 25-42 Making the Break
In: The Lost Art of Banking
by Aisling Tuite - 31-60 Interest Rate Risk
In: Banking and Financial Markets
by Andrada Bilan & Hans Degryse & Kuchulain O’Flynn & Steven Ongena - 33-46 Risk Management Competency Development Indicators: Differing Importance Across Demographics
In: Risk Management Competency Development in Banks
by Eric H. Y. Koh - 37-50 BigTech Strategic Approaches: Worrying Competition?
In: FinTech, BigTech and Banks
by Alessandra Tanda & Cristiana-Maria Schena - 39-56 Identification of Business Models
In: Banking Business Models
by Rym Ayadi - 43-63 An Era of Transformation in the Banking Industry
In: The Lost Art of Banking
by Aisling Tuite - 43-66 Non-performing Loans in the Euro Area
In: Risk and Regulation in Euro Area Banks
by Francesca Arnaboldi - 45-72 Risk and Pricing on the Italian Minibond Market
In: Frontier Topics in Banking
by Alessandro Giovanni Grasso & Francesco Pattarin - 47-61 Summarizing the Risk Management Competency Development Indicators to Themes
In: Risk Management Competency Development in Banks
by Eric H. Y. Koh - 51-81 Bank Strategies in the Light of the Digitalisation of Financial Activities
In: FinTech, BigTech and Banks
by Alessandra Tanda & Cristiana-Maria Schena - 55-82 Profitability of European Banks: A Quantitative Analysis
In: Banking in Europe
by Mariarosa Borroni & Simone Rossi - 57-66 Bank Business Models and Financial Stability Assessment
In: Banking Business Models
by Rym Ayadi - 61-104 Credit Risk
In: Banking and Financial Markets
by Andrada Bilan & Hans Degryse & Kuchulain O’Flynn & Steven Ongena - 63-73 Conclusion: This Book’s Findings on Risk Management Competency Development
In: Risk Management Competency Development in Banks
by Eric H. Y. Koh - 63-110 Developments in Mobile Technology and the Emergence of Mobile Money
In: The Regulation of Mobile Money
by Sunduzwayo Madise - 65-82 The Modern Bank Workers
In: The Lost Art of Banking
by Aisling Tuite - 65-95 Co-operative Banking Networks: Rationalities and Models
In: Co-operative Banking Networks in Europe
by Federica Poli - 67-78 Business Models, Ownership, Organisational Structures and Size
In: Banking Business Models
by Rym Ayadi - 67-88 Level 3 Assets and Sovereign Exposure
In: Risk and Regulation in Euro Area Banks
by Francesca Arnaboldi - 73-95 Exploring Factors Influencing the Success of Equity Crowdfunding Campaigns: Findings from Italy
In: Frontier Topics in Banking
by Stefano Cosma & Alessandro Giovanni Grasso & Francesco Pagliacci & Alessia Pedrazzoli - 79-86 Migration of Business Models
In: Banking Business Models
by Rym Ayadi - 83-100 The Regulatory Framework and Initiatives
In: FinTech, BigTech and Banks
by Alessandra Tanda & Cristiana-Maria Schena - 83-105 Making Profits in the New Competitive and Regulatory Framework
In: Banking in Europe
by Mariarosa Borroni & Simone Rossi - 83-108 Transformations of Care and Community
In: The Lost Art of Banking
by Aisling Tuite - 87-96 Performance of Business Models
In: Banking Business Models
by Rym Ayadi - 89-107 Progress on the First Two Pillars of the Banking Union
In: Risk and Regulation in Euro Area Banks
by Francesca Arnaboldi - 97-106 Risk of Business Models
In: Banking Business Models
by Rym Ayadi - 97-115 From Seeker Side to Investor Side: Gender Dynamics in UK Equity Crowdfunding Investments
In: Frontier Topics in Banking
by Valeria Venturelli & Alessia Pedrazzoli & Elisabetta Gualandri - 97-145 Co-operative Banking in Austria
In: Co-operative Banking Networks in Europe
by Federica Poli - 101-108 An Attempt at Synthesis: Financial Market Digitalisation Scenarios, Opportunities and Challenges
In: FinTech, BigTech and Banks
by Alessandra Tanda & Cristiana-Maria Schena - 105-132 Collateral and Lending
In: Banking and Financial Markets
by Andrada Bilan & Hans Degryse & Kuchulain O’Flynn & Steven Ongena - 107-132 Regulation and Business Models
In: Banking Business Models
by Rym Ayadi - 109-122 The Third Pillar of the Banking Union: The European Deposit Insurance Scheme
In: Risk and Regulation in Euro Area Banks
by Francesca Arnaboldi - 109-132 On Memories and Rehabilitation
In: The Lost Art of Banking
by Aisling Tuite - 111-147 Different Types of Regulation
In: The Regulation of Mobile Money
by Sunduzwayo Madise - 119-136 Financial Inclusion: Trends and Determinants
In: Frontier Topics in Banking
by Mais Sha’ban & Claudia Girardone & Anna Sarkisyan - 123-141 The European Deposit Insurance Scheme
In: Risk and Regulation in Euro Area Banks
by Francesca Arnaboldi - 133-141 Resolution and Business Models
In: Banking Business Models
by Rym Ayadi - 133-178 Global Banking
In: Banking and Financial Markets
by Andrada Bilan & Hans Degryse & Kuchulain O’Flynn & Steven Ongena - 137-164 Framing, Overconfidence and Regret in Italian Mortgage Banking Litigations
In: Frontier Topics in Banking
by Caterina Lucarelli & Francesco James Mazzocchini - 143-146 Conclusions
In: Banking Business Models
by Rym Ayadi - 147-192 Co-operative Banking in Finland
In: Co-operative Banking Networks in Europe
by Federica Poli - 149-200 Regulating Money
In: The Regulation of Mobile Money
by Sunduzwayo Madise - 165-187 ‘Share this pic!’: A Picture of the Adoption of Online Social Media by Italian Banks
In: Frontier Topics in Banking
by Elisa Giaretta & Giusy Chesini - 179-199 FinTech and the Future of Banking
In: Banking and Financial Markets
by Andrada Bilan & Hans Degryse & Kuchulain O’Flynn & Steven Ongena - 189-221 Central Banks’ Commitment to Stakeholders: CSR in the Eurosystem: 2006–2016
In: Frontier Topics in Banking
by Vincenzo Farina & Giuseppe Galloppo & Daniele A. Previati - 193-252 Co-operative Banking in France
In: Co-operative Banking Networks in Europe
by Federica Poli - 201-203 Conclusion
In: Banking and Financial Markets
by Andrada Bilan & Hans Degryse & Kuchulain O’Flynn & Steven Ongena - 201-227 The Concept of Financial Inclusion
In: The Regulation of Mobile Money
by Sunduzwayo Madise - 225-244 Bank’s Asset Quality Review Using Debt Service Coverage Ratio: An Empirical Investigation Across European Firms
In: Frontier Topics in Banking
by Maurizio Polato & Federico Beltrame - 229-267 Comparative Study of Mobile Money in Kenya and Malaŵi
In: The Regulation of Mobile Money
by Sunduzwayo Madise - 245-292 Credit Risk Disclosure Practices in the Annual Financial Reporting of Large Italian Banks
In: Frontier Topics in Banking
by Enzo Scannella & Salvatore Polizzi - 253-294 Co-operative Banking in Germany
In: Co-operative Banking Networks in Europe
by Federica Poli - 269-304 Malaŵi’s Existing Regulatory Framework of Mobile Money
In: The Regulation of Mobile Money
by Sunduzwayo Madise - 293-319 The Impact of Recent Regulatory Reforms on Cross-Border Banking: A Study of the Nordic Markets
In: Frontier Topics in Banking
by Viktor Elliot & Ted Lindblom & Magnus Willesson - 295-346 Co-operative Banking in Italy
In: Co-operative Banking Networks in Europe
by Federica Poli - 305-347 An Alternative Regulatory Framework for Mobile Money
In: The Regulation of Mobile Money
by Sunduzwayo Madise - 321-369 The Effectiveness of the ‘Belt and Road’ Initiative in Tackling China’s Economic Slowdown and Its Financial Implications Within a Policy Trilemma Context
In: Frontier Topics in Banking
by Piotr Łasak & René W. H. Linden - 347-378 Co-operative Banking in the Netherlands
In: Co-operative Banking Networks in Europe
by Federica Poli - 349-375 Conclusions
In: The Regulation of Mobile Money
by Sunduzwayo Madise - 379-403 The Performance of Co-operative Banking Networks and the Challenges They Face
In: Co-operative Banking Networks in Europe
by Federica Poli
2018
- 1-1 Erratum to: Measuring and Managing Operational Risk
In: Measuring and Managing Operational Risk
by Paola Leone & Pasqualina Porretta & Mario Vellella - 1-4 Introduction
In: Bank Liquidity and the Global Financial Crisis
by Laura Chiaramonte - 1-8 Introduction
In: Contemporary Issues in Banking
by Myriam García-Olalla & Judith Clifton - 1-13 Introduction
In: Agencies in European Banking
by Marta Božina Beroš - 1-23 Introduction to the Work and Operational Risk
In: Measuring and Managing Operational Risk
by Paola Leone & Pasqualina Porretta - 1-47 The Funding Strategies of European Banks: A Discussion
In: Bank Funding Strategies
by Fabrizio Crespi & Danilo V. Mascia - 5-34 The Concept of Bank Liquidity and Its Risk
In: Bank Liquidity and the Global Financial Crisis
by Laura Chiaramonte - 11-30 The Impact of Recent Regulatory Reform on the Use of Supply Chain Finance: The Case of Reverse Factoring
In: Contemporary Issues in Banking
by Viktor Elliot & Ted Lindblom - 15-43 Agencies in European Banking: Establishing the Theoretical Framework
In: Agencies in European Banking
by Marta Božina Beroš - 25-93 Operational Risk Management: Regulatory Framework and Operational Impact
In: Measuring and Managing Operational Risk
by Paola Leone & Pasqualina Porretta - 31-52 The Bank Resolution Framework in the European Union: Preliminary Evidence from Specialized and Regional Banks
In: Contemporary Issues in Banking
by Ewa Miklaszewska & Jan Pys - 35-61 The Bank Liquidity Issues During the Subprime Crisis
In: Bank Liquidity and the Global Financial Crisis
by Laura Chiaramonte - 45-63 The European Banking Authority
In: Agencies in European Banking
by Marta Božina Beroš - 49-67 The Funding Strategies of Italian Banks: The Importance of Bonds
In: Bank Funding Strategies
by Fabrizio Crespi & Danilo V. Mascia - 53-90 Market Risk Disclosure in Banks’ Balance Sheets and the Pillar 3 Report: The Case of Italian Banks
In: Contemporary Issues in Banking
by Enzo Scannella - 63-97 The Role of Central Banks and the Interbank Market in Managing Bank Liquidity During the Global Financial Crisis
In: Bank Liquidity and the Global Financial Crisis
by Laura Chiaramonte - 65-84 The Single Resolution Board
In: Agencies in European Banking
by Marta Božina Beroš - 69-91 The Different Types of Bonds Issued by Italian Banks: An Overview
In: Bank Funding Strategies
by Fabrizio Crespi & Danilo V. Mascia - 85-96 Conclusion
In: Agencies in European Banking
by Marta Božina Beroš - 91-121 Central Banks’ Communication Strategies: Just Words?
In: Contemporary Issues in Banking
by Vincenzo Farina & Giuseppe Galloppo & Daniele A. Previati - 93-116 The Bail-in Effect: How the Cost of Funding Through Bonds has Changed After the Introduction of the BRRD
In: Bank Funding Strategies
by Fabrizio Crespi & Danilo V Mascia - 95-143 Operational Risk Measurement: A Literature Review
In: Measuring and Managing Operational Risk
by Francesco Giannone - 99-129 Bank Liquidity Regulation Before the Global Financial Crisis
In: Bank Liquidity and the Global Financial Crisis
by Laura Chiaramonte - 123-148 Complaining in Consumer Credit: Evidence from the Italian Financial System
In: Contemporary Issues in Banking
by S. Cosma & F. Pancotto & P. Vezzani - 131-165 The New International Liquidity Regulatory Framework for Banks
In: Bank Liquidity and the Global Financial Crisis
by Laura Chiaramonte - 145-181 Integrated Risk Measurement Approach: A Case Study
In: Measuring and Managing Operational Risk
by Vitantonio Matarazzo & Mario Vellella - 151-180 Bank Boards in Europe: Trade-Offs in Size, Composition, and Turnover
In: Contemporary Issues in Banking
by Eleuterio Vallelado & Myriam García-Olalla - 167-188 The Implications of Basel III Liquidity Regulatory Reform
In: Bank Liquidity and the Global Financial Crisis
by Laura Chiaramonte - 181-195 The Impact of Internal Corporate Governance Mechanisms on Corporate Social Performance in the Banking Industry
In: Contemporary Issues in Banking
by José L. Fernández Sánchez & María D. Odriozola & Manuel Luna - 183-205 Almost Concluding Thoughts Between a Comparative Analysis and a Sensitivity Analysis: Look Over the Regulatory View
In: Measuring and Managing Operational Risk
by Paola Leone & Vitantonio Matarazzo & Pasqualina Porretta & Mario Vellella - 189-191 Conclusion
In: Bank Liquidity and the Global Financial Crisis
by Laura Chiaramonte - 197-219 Bank Ownership and Firm-Level Performance: An Empirical Assessment of State-Owned Development Banks
In: Contemporary Issues in Banking
by Marco Frigerio & Daniela Vandone - 221-237 Non-financial Rating and Socially Responsible Investment Reaction to Financial Turmoil
In: Contemporary Issues in Banking
by Helen Chiappini & Gianfranco A. Vento - 239-251 What Determines Interest Margins? The Case of Chinese Banks
In: Contemporary Issues in Banking
by Ming Qi & Jiawei Zhang - 255-278 How Do Banks and Investment Funds Affect Family Risk-Taking? Evidence from the Financial Crisis
In: Contemporary Issues in Banking
by David Blanco-Alcántara & Jorge B. Farinha & Mauricio Jara-Bertín & Óscar López-de-Foronda & Marcos Santamaría-Mariscal - 279-302 Does Bank Regulation Spill Over to Firm Financing? SME Financing, Bank Monitoring, and the Efficiency of the Bank Lending Channel
In: Contemporary Issues in Banking
by Viktor Elliot & Magnus Willesson - 303-327 Earn-outs in Debt Restructuring Plans: Economics and Valuation
In: Contemporary Issues in Banking
by Josanco Floreani & Maurizio Polato & Maurizio Massaro - 329-360 Book and Market Values of European Banks: Country, Size, and Business Mix Effects
In: Contemporary Issues in Banking
by Riccardo Ferretti & Andrea Landi & Valeria Venturelli - 363-387 Assessing and Measuring Banking Culture
In: Contemporary Issues in Banking
by Beatriz Fernández Muñiz & José Manuel Montes Peón & Camilo José Vázquez Ordás - 389-407 A Multidimensional Approach to Equity Crowdfunding: Bridging the Equity Gap and Boosting Social Capital
In: Contemporary Issues in Banking
by Bernardo Balboni & Elisabetta Gualandri & Ulpiana Kocollari & Alessia Pedrazzoli & Valeria Venturelli - 409-426 Structure and Risks of the Chinese Shadow Banking System: The Next Challenge for the Global Economy?
In: Contemporary Issues in Banking
by Piotr Łasak - 427-450 Analysis of the Main Trends in European and US Banks and Their Impact on Performance
In: Contemporary Issues in Banking
by Giusy Chesini & Elisa Giaretta
2017
- 1-4 Introduction
In: The Business of Banking
by Giusy Chesini & Elisa Giaretta & Andrea Paltrinieri - 1-4 Introduction
In: Financial Markets, SME Financing and Emerging Economies
by Giusy Chesini & Elisa Giaretta & Andrea Paltrinieri - 1-5 Introduction
In: Securitization: Past, Present and Future
by Solomon Y Deku & Alper Kara - 1-6 Introduction
In: The Role of Deposit Guarantee Schemes as a Financial Safety Net in the European Union
by Jakub Kerlin - 1-7 Introduction
In: Operational Risk Management in Banks
by Giuliana Birindelli & Paola Ferretti - 1-8 Introduction
In: Risk Culture in Banking
by Alessandro Carretta & Franco Fiordelisi & Paola Schwizer - 1-14 Introduction
In: Non-Performing Loans and Resolving Private Sector Insolvency
by Platon Monokroussos & Christos Gortsos - 1-29 Indian Banking Structure: An Overview
In: Banking Reforms in India
by T. R. Bishnoi & Sofia Devi