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Content
2015
- 155-183 Non-executive Independent Directors in Corporate Governance of the Italian Banks and Listed Companies
In: Italian Banking and Financial Law
by Domenico Siclari
- 157-181 The Performance of Listed European Innovative Firms
In: Lending, Investments and the Financial Crisis
by Luisa Anderloni & Alessandra Tanda
- 158-171 Rating and Bankruptcy Prediction
In: Credit Rating and Bank-Firm Relationships
by Michele Modina
- 163-181 Risk and Efficiency in European Banking — Does Corporate Governance Matter?
In: Bank Risk, Governance and Regulation
by Magnus Willesson
- 165-192 Listed Companies
In: Italian Banking and Financial Law
by Simone Alvaro
- 166-181 Legacies and Lessons Learnt
In: Banking Reform in Nigeria
by Yomi Makanjuola
- 168-191 Bad Regulation: High-Frequency Trading
In: Good Regulation, Bad Regulation
by Imad A. Moosa
- 170-188 The Challenge of Restoring Debt Sustainability in a Deep Economic Recession: The Case of Greece
In: A Financial Crisis Manual
by Platon Monokroussos
- 177-206 Commissione Nazionale per le Società e la Borsa (Consob)
In: Italian Banking and Financial Law
by Mirella Pellegrini & Vittorio Mirra
- 182-199 Evolution of the Central Bank of Nigeria
In: Banking Reform in Nigeria
by Yomi Makanjuola
- 182-205 Towards a Macroprudential Policy in the EU
In: Bank Risk, Governance and Regulation
by Elisabetta Gualandri & Mario Noera
- 182-207 Investment Strategies of Institutional Investors: An International Comparison of Sovereign Pension and Social Security Reserve Funds
In: Lending, Investments and the Financial Crisis
by Alberto Dreassi & Stefano Miani & Andrea Paltrinieri
- 183-213 Business Transformation, Strategy, and Organization: The Issue is in the Execution
In: Retail Banking
by Anna Omarini
- 184-194 Credit Rating Agencies
In: Italian Banking and Financial Law
by Angela Troisi
- 189-200 The Case for a New Reprofiling of Greek Public Debt and Why a Relaxation of the Bailout Program’s Future Fiscal Targets May Prove to Be a Self-Financing Policy Shift
In: A Financial Crisis Manual
by Fokion Karavias & Platon Monokroussos
- 192-211 Bad Regulation: Too Big to Fail, Bail-Out and Bail-In
In: Good Regulation, Bad Regulation
by Imad A. Moosa
- 193-211 Reinsurance Business
In: Italian Banking and Financial Law
by Andrea Miglionico
- 195-225 Tax Regulation on the Banking System
In: Italian Banking and Financial Law
by Massimiliano Lorenzetti
- 197-211 Unregulated Markets
In: Italian Banking and Financial Law
by Fabrizio Plateroti
- 200-216 Central Banking in the 21st Century
In: Banking Reform in Nigeria
by Yomi Makanjuola
- 201-224 External Debt Evolution When Global Financial Markets Are Incomplete
In: A Financial Crisis Manual
by Alexis Anagnostopoulos & Gregorios D. Siourounis
- 206-234 Italian Banks Facing Basel 3 Higher Capital Requirements: Which Strategies Are Actually Feasible?
In: Bank Risk, Governance and Regulation
by Franco Tutino & Giorgio Carlo Brugnoni & Maria Giovanna Siena
- 207-253 Istituto per la Vigilanza sulle Assicurazioni (Ivass)
In: Italian Banking and Financial Law
by Enrico Galanti & Patrizia Rosatone
- 212-219 Concluding Remarks
In: Good Regulation, Bad Regulation
by Imad A. Moosa
- 214-226 Conclusions and Recommendations
In: Retail Banking
by Anna Omarini
- 217-219 Conclusion
In: Banking Reform in Nigeria
by Yomi Makanjuola
- 220-223 Epilogue
In: Banking Reform in Nigeria
by Yomi Makanjuola
- 225-254 Foreign Direct Investment, Innovation and Brain Drain in Greece: Turning a Problem into an Opportunity
In: A Financial Crisis Manual
by Constantina Kottaridi
- 254-260 Commissione di Vigilanza sui fondi Pensione (Covip)
In: Italian Banking and Financial Law
by Raffaele Capuano
- 257-280 Globalized Finance in Disarray
In: A Financial Crisis Manual
by Shanti P. Chakravarty
- 261-294 Financial Intelligence Unit (FIU)
In: Italian Banking and Financial Law
by Italo Borrello
- 281-307 The Elephant in the Euro Room
In: A Financial Crisis Manual
by Alex Patelis
- 308-328 From the Euro-Crisis to a New European Economic Architecture
In: A Financial Crisis Manual
by Michael G. Arghyrou
- 329-330 Afterword: The Road Ahead
In: A Financial Crisis Manual
by Dimitrios D. Thomakos & Platon Monokroussos & Konstantinos I. Nikolopoulos
2014
- 1-2 Introduction
In: Monetary Policies, Banking Systems, Regulatory Convergence, Efficiency and Growth in the Mediterranean
by Rym Ayadi & Sami Mouley
- 1-4 Introduction
In: Financial Centres in Europe
by Rym Ayadi & Emrah Arbak
- 1-6 Introduction
In: Anomalies in the European REITs Market
by Gianluca Mattarocci
- 1-8 Challenges for Banks and a New Regulatory Framework
In: Governance, Regulation and Bank Stability
by Ted Lindblom & Stefan Sjögren & Magnus Willesson
- 1-8 Institutional Change and the Design of Financial Systems
In: Financial Systems, Markets and Institutional Changes
by Ted Lindblom & Stefan Sjögren & Magnus Willesson
- 1-34 Securities Industry and Exchange Industry: Organization and Value Chain
In: The Economics of the Global Stock Exchange Industry
by Josanco Floreani & Maurizio Polato
- 3-82 Monetary Policy and Central Banking Independence
In: Monetary Policies, Banking Systems, Regulatory Convergence, Efficiency and Growth in the Mediterranean
by Rym Ayadi & Sami Mouley
- 5-29 Evolving Nature and Scope of Activities
In: Financial Centres in Europe
by Rym Ayadi & Emrah Arbak
- 7-18 Real Estate Investment Trusts
In: Anomalies in the European REITs Market
by Gianluca Mattarocci
- 9-19 Leverage, System Risk and Financial System Health: How Do We Develop a Healthy Financial System?
In: Governance, Regulation and Bank Stability
by Anjan V. Thakor
- 9-42 The Road to a Viable Euro Zone and the Preconditions for Becoming a More Optimal Currency Region
In: Financial Systems, Markets and Institutional Changes
by René W. H. Linden
- 19-31 The European REIT Industry
In: Anomalies in the European REITs Market
by Gianluca Mattarocci
- 20-47 Did Strong Boards Affect Bank Tail Risk During the Financial Crisis? Evidence from European Countries
In: Governance, Regulation and Bank Stability
by Francesca Battaglia & Angela Gallo
- 30-61 Compelling International Initiatives
In: Financial Centres in Europe
by Rym Ayadi & Emrah Arbak
- 32-45 The Day of the Week Effect
In: Anomalies in the European REITs Market
by Gianluca Mattarocci
- 35-67 The Exchange Industry: An Overview
In: The Economics of the Global Stock Exchange Industry
by Josanco Floreani & Maurizio Polato
- 43-60 Gross Imbalances, Liquidity Shortage and the Role of the Federal Reserve
In: Financial Systems, Markets and Institutional Changes
by Pierluigi Morelli & Giovanni B. Pittaluga & Elena Seghezza
- 46-59 The Role of the Weekend Effect in European REITs
In: Anomalies in the European REITs Market
by Gianluca Mattarocci
- 48-76 Corporate Governance of Banks and Financial Crisis: Can the Post-crisis Rules Make Banks Safer?
In: Governance, Regulation and Bank Stability
by Gianfranco A. Vento & Pasquale Ganga
- 60-70 Monthly Calendar Anomalies
In: Anomalies in the European REITs Market
by Gianluca Mattarocci
- 61-79 Firm-based and Institutional-based Determinants of the Bank Debt Maturity: New Evidence for Developed Countries
In: Financial Systems, Markets and Institutional Changes
by Eleuterio Vallelado & Paolo Saona & Pablo San Martín
- 62-102 Risks and Opportunities
In: Financial Centres in Europe
by Rym Ayadi & Emrah Arbak
- 68-96 Securities Industry Regulation. Implications for Exchanges’ Performances
In: The Economics of the Global Stock Exchange Industry
by Josanco Floreani & Maurizio Polato
- 71-90 The Impact of the Turn of the Month on European REIT Markets
In: Anomalies in the European REITs Market
by Gianluca Mattarocci
- 77-99 Predicting European Bank Distress: Evidence from the Recent Financial Crisis
In: Governance, Regulation and Bank Stability
by Laura Chiaramonte & Federica Poli
- 80-109 The Financing of Italian Firms and the Credit Crunch: Findings and Exit Strategies
In: Financial Systems, Markets and Institutional Changes
by Elisabetta Gualandri & Valeria Venturelli
- 83-118 Overview of the National Banking Systems and Reforms
In: Monetary Policies, Banking Systems, Regulatory Convergence, Efficiency and Growth in the Mediterranean
by Rym Ayadi & Sami Mouley
- 91-101 The Time of the Month Effect for European REIT Investors
In: Anomalies in the European REITs Market
by Gianluca Mattarocci
- 97-127 The Governance of Securities Exchanges. New Insights
In: The Economics of the Global Stock Exchange Industry
by Josanco Floreani & Maurizio Polato
- 100-128 The Impact of Deregulation and Re-regulation on Bank Efficiency: Evidence from Asia
In: Governance, Regulation and Bank Stability
by Bimei Deng & Barbara Casu & Alessandra Ferrari
- 102-115 The Holiday Effect and REITs in Europe
In: Anomalies in the European REITs Market
by Gianluca Mattarocci
- 103-107 Conclusions and the Way Forward
In: Financial Centres in Europe
by Rym Ayadi & Emrah Arbak
- 108-150 Appendix I: Survey of Selected Financial Centres
In: Financial Centres in Europe
by Rym Ayadi & Emrah Arbak
- 110-131 Does the Team Manager Earn More than His Coached Players? Analysis of the Earnings of Italian Asset Management Companies, and their Portfolio Companies, in the Field of Private Equity
In: Financial Systems, Markets and Institutional Changes
by Elisa Giaretta & Giusy Chesini
- 116-127 The Friday 13th or Friday 17th Effect for European REIT Investors
In: Anomalies in the European REITs Market
by Gianluca Mattarocci
- 119-156 Convergence of Banking Sectors Regulations
In: Monetary Policies, Banking Systems, Regulatory Convergence, Efficiency and Growth in the Mediterranean
by Rym Ayadi & Sami Mouley
- 128-138 Yearly Calendar Anomalies
In: Anomalies in the European REITs Market
by Gianluca Mattarocci
- 128-163 The Economics of Exchanges
In: The Economics of the Global Stock Exchange Industry
by Josanco Floreani & Maurizio Polato
- 129-150 Small Banks in Post-crisis Regulatory Architecture: The Case of Cooperative Banks in Poland
In: Governance, Regulation and Bank Stability
by Ewa Miklaszewska
- 132-151 Does ‘Political Bias’ Undermine the Korea Investment Corporation?
In: Financial Systems, Markets and Institutional Changes
by Andrea Paltrinieri & Flavio Pichler & Stefano Miani
- 139-152 The January Effect in European REITs
In: Anomalies in the European REITs Market
by Gianluca Mattarocci
- 151-151 Data Annex
In: Financial Centres in Europe
by Rym Ayadi & Emrah Arbak
- 151-180 The Sovereign Debt Crisis: The Impact on the Intermediation Model of Italian Banks
In: Governance, Regulation and Bank Stability
by Stefano Cosma & Elisabetta Gualandri
- 152-187 Regulating High-frequency Trading: An Examination of European, US and Australian Equity Market Structures
In: Financial Systems, Markets and Institutional Changes
by Giusy Chesini & Elisa Giaretta
- 153-165 Is there a Halloween Effect in the European REITs Market?
In: Anomalies in the European REITs Market
by Gianluca Mattarocci
- 157-180 Analysis of Banking Efficiency and Convergence
In: Monetary Policies, Banking Systems, Regulatory Convergence, Efficiency and Growth in the Mediterranean
by Rym Ayadi & Sami Mouley
- 164-197 A Risk-Adjusted Model for Peformance Measurement
In: The Economics of the Global Stock Exchange Industry
by Josanco Floreani & Maurizio Polato
- 166-168 Conclusion
In: Anomalies in the European REITs Market
by Gianluca Mattarocci
- 181-199 Impact of Monetary Policy and Bank Regulations on Efficiency
In: Monetary Policies, Banking Systems, Regulatory Convergence, Efficiency and Growth in the Mediterranean
by Rym Ayadi & Sami Mouley
- 181-200 Diversification Strategies and Performance in the Italian Banking System
In: Governance, Regulation and Bank Stability
by Paola Brighi & Valeria Venturelli
- 188-216 Islamic and Conventional Exchanges: A Performance Analysis and Governance Perspectives
In: Financial Systems, Markets and Institutional Changes
by Josanco Floreani & Andrea Paltrinieri & Maurizio Polato & Flavio Pichler
- 198-225 The Economics of the Exchange Industry: An Empirical Overview
In: The Economics of the Global Stock Exchange Industry
by Josanco Floreani & Maurizio Polato
- 200-215 Impact of Bank Regulations on Growth
In: Monetary Policies, Banking Systems, Regulatory Convergence, Efficiency and Growth in the Mediterranean
by Rym Ayadi & Sami Mouley
- 201-241 Intermediation Model, Bank Size and Lending to Customers: Is There a Significant Relationship? Evidence from Italy: 2008–2011
In: Governance, Regulation and Bank Stability
by Franco Tutino & Concetta Colasimone & Giorgio Carlo Brugnoni & Luca Riccetti
- 216-218 Conclusions
In: Monetary Policies, Banking Systems, Regulatory Convergence, Efficiency and Growth in the Mediterranean
by Rym Ayadi & Sami Mouley
- 242-259 Good News, Bad News: A Proposal to Measure Banks’ Reputation using Twitter
In: Governance, Regulation and Bank Stability
by Vincenzo Farina & Giampaolo Gabbi & Daniele Previati
2013
- 1-4 Introduction
In: Cloud Computing in Financial Services
by Bernardo Nicoletti
- 1-4 Introduction
In: Asset Pricing, Real Estate and Public Finance over the Crisis
by Alessandro Carretta & Gianluca Mattarocci
- 1-6 Introduction
In: Bank Stability, Sovereign Debt and Derivatives
by Joseph Falzon
- 1-6 Introduction
In: Bank Performance, Risk and Securitization
by Joseph Falzon
- 1-7 Introduction
In: Modern Bank Behaviour
by José Manuel Pastor Monsdlvez & Juan Fernández Guevara Radoselovics
- 1-7 Introduction
In: Crisis, Risk and Stability in Financial Markets
by Juan Fernández Guevara Radoselovics & José Manuel Pastor Monsálvez
- 1-10 Introduction
In: International Debt
by Otto Hieronymi & Constantine A. Stephanou
- 1-13 Introduction
In: Spanish Money and Banking
by Gabriel Tortella & José Luis García Ruiz
- 1-41 Sources of Bank Behaviour and Institutional Change: Interactions among Structures, Institutions and Agents
In: Bank Behaviour and Resilience
by Caner Bakir
- 3-9 Introduction
In: Retail Credit Risk Management
by Mario Anolli & Elena Beccalli
- 3-11 Caught Off-Guard by Another Crisis
In: Financial Crisis
by Jill M. Hendrickson
- 3-27 Our Society Has to Review its Business Model
In: Household Finance
by Dimitris N. Chorafas
- 5-28 Financial Institutions and Information and Communication Technology
In: Cloud Computing in Financial Services
by Bernardo Nicoletti
- 7-19 The Impact of the New Structural Liquidity Rules on the Profitability of EU Banks
In: Bank Performance, Risk and Securitization
by Laura Chiaramonte & Barbara Casu & Roberto Bottiglia
- 7-24 Does Investor Attention Influence Stock Market Activity? The Case of Spin-Off Deals
In: Asset Pricing, Real Estate and Public Finance over the Crisis
by Alessandro Carretta & Vincenzo Farina & Elvira Anna Graziano & Marco Reale
- 7-30 On the Relationship between Bank Business Models and Financial Stability: Evidence from the Financial Crisis in OECD Countries
In: Bank Stability, Sovereign Debt and Derivatives
by Laura Chiaramonte & Federica Poli & Marco Oriani
- 8-23 Financial Stability and Economic Growth
In: Crisis, Risk and Stability in Financial Markets
by Santiago Carbó-Valverde & Luis Pedauga Sánchez
- 8-33 The Mis-selling of Payments Protection Insurance in Mortgage and Unsecured Lending Markets
In: Modern Bank Behaviour
by John K. Ashton & Robert S. Hudson
- 11-94 The International Monetary System and the Debt Issue
In: International Debt
by Otto Hieronymi
- 12-43 Theories of Financial Crises
In: Financial Crisis
by Jill M. Hendrickson
- 13-58 The Ever-evolving Basel Accord
In: Retail Credit Risk Management
by Damiano Guadalupi
- 14-25 Money and Banking in the Twilight of Empire
In: Spanish Money and Banking
by Gabriel Tortella & José Luis García Ruiz
- 20-36 Basel III and Banking Efficiency
In: Bank Performance, Risk and Securitization
by Ted Lindblom & Magnus Willesson
- 24-48 Financial Crisis and EU Banks’ Performance
In: Crisis, Risk and Stability in Financial Markets
by Ted Lindblom & Magnus Willesson
- 25-37 The Effects of Derivatives Trading on Stock Market Volatility and Market Efficiency: Some Evidence from European Markets
In: Asset Pricing, Real Estate and Public Finance over the Crisis
by Giovanni Liccardo
- 26-47 Banking in War and Peace
In: Spanish Money and Banking
by Gabriel Tortella & José Luis García Ruiz
- 29-53 Entitlements
In: Household Finance
by Dimitris N. Chorafas
- 29-64 Cloud Computing
In: Cloud Computing in Financial Services
by Bernardo Nicoletti
- 31-56 Cooperative Banking in Poland: A Post-Crisis Record of Stability and Efficiency
In: Bank Stability, Sovereign Debt and Derivatives
by Ewa Miklaszewska & Krzysztof Kil
- 34-47 The Relationship between Mortgage Credit and Property Prices: The Chinese Case
In: Modern Bank Behaviour
by Santiago Carbo-Valverde & Francisco Rodriguez-Fernandez & Ming Qi
- 37-52 Estimating the Probability of Financial Distress in European Markets: Prediction Models and Empirical Applications
In: Bank Performance, Risk and Securitization
by Andrea Cerri & Gimede Gigante
- 38-55 How Much Globalization Is There in the World Stock Markets and Where Is It?
In: Asset Pricing, Real Estate and Public Finance over the Crisis
by Gianni Nicolini & Ekaterina Dorodnykh
- 42-59 Institutional Theory and Varieties of National Financial Systems
In: Bank Behaviour and Resilience
by Caner Bakir
- 44-56 Assessment of the Theories
In: Financial Crisis
by Jill M. Hendrickson
- 48-64 Banks and Railways: From Boom to Bust
In: Spanish Money and Banking
by Gabriel Tortella & José Luis García Ruiz
- 48-67 Bank Restructuring and Bank Stability in Latin America
In: Modern Bank Behaviour
by Ngoc Vo & Jonathan Williams
- 49-70 Diversification, Diversity and Systemic Risk in European Banking
In: Crisis, Risk and Stability in Financial Markets
by Pierluigi Morelli & Giovanni B. Pittaluga & Elena Seghezza
- 53-79 Performance Management Systems in Swedish Savings Banks: A Longitudinal Study through the First Quarter-Century of Deregulation
In: Bank Performance, Risk and Securitization
by Viktor Lundberg
- 55-84 Jobs and Education
In: Household Finance
by Dimitris N. Chorafas
- 56-76 Financial Analyst Recommendation Driven Funds: A Risk Adjusted Measure Analysis
In: Asset Pricing, Real Estate and Public Finance over the Crisis
by Giuseppe Galloppo
- 57-92 Credit Development, Quality Deterioration and Intermediation Model: Does Bank Size Matter?
In: Bank Stability, Sovereign Debt and Derivatives
by Franco Tutino & Concetta Colasimone & Giorgio Carlo Brugnoni
- 59-76 Private Individuals: Credit Risk Modeling
In: Retail Credit Risk Management
by Corrado Giannasca & Tommaso Giordani
- 59-102 Prologue to the Crisis: 2000–2006
In: Financial Crisis
by Jill M. Hendrickson
- 60-115 The Sources and Consequences of Bank Behaviour
In: Bank Behaviour and Resilience
by Caner Bakir
- 65-86 Cloud Computing in Financial Institutions
In: Cloud Computing in Financial Services
by Bernardo Nicoletti
- 65-89 The Peseta and the Bank of Spain
In: Spanish Money and Banking
by Gabriel Tortella & José Luis García Ruiz
- 68-82 Monetary Policy and Trade Credit: Evidence for Spain
In: Modern Bank Behaviour
by Santiago Carbo-Valverde & José Manuel Mansilla-Ferndndez & Francisco Rodriguez-Fernandez
- 71-95 Basel III, Pillar 2: The Role of Banks’ Internal Control Systems
In: Crisis, Risk and Stability in Financial Markets
by Elisabetta Gualandri
- 77-90 SMEs: Credit Risk Modeling
In: Retail Credit Risk Management
by Emanuele Giovannini
- 77-96 Alternative Neural Network Approaches for Enhancing Stock Picking Using Earnings Forecasts
In: Asset Pricing, Real Estate and Public Finance over the Crisis
by Giuseppe Galloppo & Mauro Aliano
- 80-113 Does Asset-Backed Securitization Affect the Credit Risk of the Originator Banks? The Italian Case
In: Bank Performance, Risk and Securitization
by Francesca Battaglia & Maria Mazzuca
- 83-94 The Assessment of the Net Stable Funding Ratio (NSFR) Value. Evidence from the Financial Crisis
In: Modern Bank Behaviour
by Laura Chiaramonte & Barbara Casu & Roberto Bottiglia
- 87-106 The IOU Abyss
In: Household Finance
by Dimitris N. Chorafas
- 87-117 Governance of Cloud Computing
In: Cloud Computing in Financial Services
by Bernardo Nicoletti
- 90-101 A Renewed Banking System
In: Spanish Money and Banking
by Gabriel Tortella & José Luis García Ruiz
- 91-108 The Critical Model Parameter: LGD
In: Retail Credit Risk Management
by Elisa Alghisi Manganello & Valentina Leucari
- 93-114 Credit Supply and the Rise in Sovereign Debt Risk in the Eurozone
In: Bank Stability, Sovereign Debt and Derivatives
by Pierluigi Morelli & Giovanni B. Pittaluga & Elena Seghezza
- 95-108 The Dual Debt Problem in the US and in Europe: Are Policy Makers Addressing the Right Issues?
In: International Debt
by Michael Sakbani
- 95-124 Distance and Efficiency in the Italian Banking System
In: Modern Bank Behaviour
by Cristina Bernini & Paola Brighi
- 96-115 Shadow Banking and Systemic Risk: In Search of Regulatory Solutions
In: Crisis, Risk and Stability in Financial Markets
by Gianfranco A. Vento & Pasquale Ganga
- 97-111 Market Timing with the Black-Litterman Model
In: Asset Pricing, Real Estate and Public Finance over the Crisis
by Ugo Pomante
- 102-114 From Dictatorship to Republic: Spain and the Great Depression
In: Spanish Money and Banking
by Gabriel Tortella & José Luis García Ruiz
- 103-148 The Crisis Unfolds
In: Financial Crisis
by Jill M. Hendrickson
- 107-129 Households and the Value of Money
In: Household Finance
by Dimitris N. Chorafas
- 109-126 The Illusion of Monetary Sovereignty
In: International Debt
by Péter Ákos Bod
- 109-133 Model Validation
In: Retail Credit Risk Management
by Antonio Arfé & Paolo Gianturco
- 112-125 Performance and Governance in Investment Management Companies
In: Asset Pricing, Real Estate and Public Finance over the Crisis
by Maria Cristina Arcuri
- 114-146 Microcredit Securitization
In: Bank Performance, Risk and Securitization
by Mario Torre & Fabiomassimo Mango
- 115-138 Banking under Franco
In: Spanish Money and Banking
by Gabriel Tortella & José Luis García Ruiz
- 115-160 Credit Guarantee Institutions, Performance and Risk Analysis: An Experimental Scoring
In: Bank Stability, Sovereign Debt and Derivatives
by Paola Leone & Ida C. Panetta & Pasqualina Porretta
- 116-134 The Political Economy of Prudential Regulation in Australia
In: Bank Behaviour and Resilience
by Caner Bakir
- 116-155 Social Lending in Europe: Structures, Regulation and Pricing Models
In: Crisis, Risk and Stability in Financial Markets
by Mario Torre & Fabiomassimo Mango
- 118-165 The Future of ICT in Financial Institutions
In: Cloud Computing in Financial Services
by Bernardo Nicoletti
- 125-153 Total and Financial Cost Efficiency in Spanish Savings Banks
In: Modern Bank Behaviour
by Concepción Pérez-Cárceles & Juan Cándido Gómez-Gallego & Juan Gómez-García
- 127-158 Building Firewalls: European Responses to the Sovereign Debt Crisis
In: International Debt
by Constantine A. Stephanou
- 129-151 The Quality of Real Estate Data: The Italian Case
In: Asset Pricing, Real Estate and Public Finance over the Crisis
by Francesca Battaglia & Claudio Porzio & Gabriele Sampagnaro
- 131-153 Managing Family Wealth
In: Household Finance
by Dimitris N. Chorafas
- 134-147 Risk-Adjusted Performance Measures
In: Retail Credit Risk Management
by Mario Anolli
- 135-157 The Political Economy of Competition Regulation in Australia
In: Bank Behaviour and Resilience
by Caner Bakir
- 139-151 Transition to Democracy, Oil Crisis, and Further Bank Reforms
In: Spanish Money and Banking
by Gabriel Tortella & José Luis García Ruiz
- 147-186 Country Risk: Measurement Approaches and ECAIs Rating
In: Bank Performance, Risk and Securitization
by Pasqualina Porretta & Gianfranco A. Vento & Fabrizio Santoboni
- 151-167 Portfolio Credit Risk Modeling
In: Retail Credit Risk Management
by Lorenzo Bocchi & Tiziano Bellini
- 151-196 Using Theory to Analyze the Crisis
In: Financial Crisis
by Jill M. Hendrickson
- 152-164 Real Estate Trends and Portfolio Rebalancing: Evidence from Main European Markets
In: Asset Pricing, Real Estate and Public Finance over the Crisis
by Gianluca Mattarocci & Georgios Siligardos
- 152-174 The Challenge of the European Market
In: Spanish Money and Banking
by Gabriel Tortella & José Luis García Ruiz
- 154-175 Empirical Analysis of Intellectual Capital Disclosure Practices in Banks in Spain, Portugal and Greece
In: Modern Bank Behaviour
by Gimede Gigante & Daniele Angelo Previati
- 155-176 The Market Does Not Crawl; It Jumps
In: Household Finance
by Dimitris N. Chorafas
- 156-182 Banks’ Ratings the Financial Crisis and Size of Entities
In: Crisis, Risk and Stability in Financial Markets
by Carlos Salvador Muñoz & José Manuel Pastor Monsálvez & Juan Fernández Guevara Radoselovics
- 158-179 Conclusion
In: Bank Behaviour and Resilience
by Caner Bakir
- 159-163 The Case for a Sovereigns’ Bankruptcy Procedure
In: International Debt
by Daniel Kaeser
- 161-182 The Role of Trade Credit and the Cost of Capital
In: Bank Stability, Sovereign Debt and Derivatives
by Ted Lindblom & Gert Sandahl
- 164-188 The Impact of the Current Euro Zone Fiscal Crisis on the Greek Banking Sector and the Measures Adopted to Preserve its Stability
In: International Debt
by Christos Gortsos
- 165-189 The Role of Risk Measures Choices in Ranking Real Estate Funds: Evidence from the Italian Market
In: Asset Pricing, Real Estate and Public Finance over the Crisis
by Claudio Giannotti & Gianluca Mattarocci
- 166-180 Case Study: Gruppo Banca Intesa Sanpaolo
In: Cloud Computing in Financial Services
by Bernardo Nicoletti
- 168-182 Stress Testing, Capital Planning, and Risk Integration
In: Retail Credit Risk Management
by Tiziano Bellini & Lorenzo Bocchi
- 175-188 The Bursting of the Bubble: Savings Banks, a Death Foretold
In: Spanish Money and Banking
by Gabriel Tortella & José Luis García Ruiz
- 176-199 Too Small or Too Low? New Evidence on the Four-Factor Model
In: Modern Bank Behaviour
by Paola Brighi & Stefano d’Addona & Antonio Carlo Francesco Bina
- 177-198 Home Ownership: Shelter or Burden?
In: Household Finance
by Dimitris N. Chorafas
- 183-198 Portfolio Management
In: Retail Credit Risk Management
by Tommaso Giordani & Corrado Giannasca
- 183-202 Accounting for the Level of Success of Firms in Achieving Their Objectives for Using Derivatives
In: Bank Stability, Sovereign Debt and Derivatives
by Frank Bezzina & Simon Grima & Joseph Falzon
- 183-202 Stock Exchange Mergers in the Aftermath of the Crisis: New Insights
In: Crisis, Risk and Stability in Financial Markets
by Maurizio Polato & Josanco Floreani
- 187-211 Top Players in Central and Eastern Europe: Does their Widespread Presence Enhance Bank Efficiency?
In: Bank Performance, Risk and Securitization
by Katarzyna Mikołajczyk
- 189-196 Conclusions
In: Spanish Money and Banking
by Gabriel Tortella & José Luis García Ruiz
- 189-210 Options, Decisions and Implementation under Extreme Market Conditions: Economic Policy in Greece the Day After
In: International Debt
by Nikolas G. Haritakis
- 193-213 Economic and Financial Determinants of the Italian Local Government Ratings: An Empirical Analysis
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