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Content
2012
- 1-8 Introduction
In: The Italian Banking System
by Stefano Cosma & Elisabetta Gualandri
- 1-10 Introduction
In: Credit Guarantee Institutions and SME Finance
by Gianfranco A. Vento & Pasqualina Porretta
- 1-14 Overview of the Greek Banking Sector
In: Greek Banking
by Fotios Pasiouras
- 1-14 The Case for the Peripheries
In: The Gold Standard Peripheries
by Anders Ögren & Lars Fredrik Øksendal
- 1-17 Banking Reforms in Emerging Markets: An Introduction
In: The Nigerian Banking Sector Reforms
by Seth Apati
- 3-16 Basel III: An Overview and a Warning
In: Basel III, the Devil and Global Banking
by Dimitris N. Chorafas
- 5-25 The Development of Bancassurance in Europe
In: Bancassurance in Europe
by Ornella Ricci
- 8-24 The Tax Harmonization in the European Union
In: Corporate Income Tax Harmonization in the European Union
by Daniela Pîrvu
- 9-13 Financial Depth in Three Economies: The UK, the US, Italy
In: Financial Structures and Regulation: A Comparison of Crises in the UK, USA and Italy
by Alessandro Roselli
- 9-33 The Impact of the Financial Crisis on Italian Banks
In: The Italian Banking System
by Elisabetta Gualandri
- 11-37 An Analysis of Credit Guarantee Schemes: Suggestions Provided by Literature
In: Credit Guarantee Institutions and SME Finance
by Ida C. Panetta
- 14-28 The Great Depression and Britain
In: Financial Structures and Regulation: A Comparison of Crises in the UK, USA and Italy
by Alessandro Roselli
- 15-35 Macroeconomic and Institutional Environment
In: Greek Banking
by Fotios Pasiouras
- 17-36 Central Banking and Monetary Policy in Sweden during the Long Nineteenth Century
In: The Gold Standard Peripheries
by Anders Ögren
- 18-34 The Nigerian Banking System: The Case for Reforms
In: The Nigerian Banking Sector Reforms
by Seth Apati
- 19-39 Finance and Banking Are Time and Motion Machines
In: Basel III, the Devil and Global Banking
by Dimitris N. Chorafas
- 25-62 The Evolution of Tax Harmonization in the European Union
In: Corporate Income Tax Harmonization in the European Union
by Daniela Pîrvu
- 26-52 Bancassurance Products
In: Bancassurance in Europe
by Maria Grazia Starita
- 29-53 The United States: Boom and Depression
In: Financial Structures and Regulation: A Comparison of Crises in the UK, USA and Italy
by Alessandro Roselli
- 34-54 Main Features of the Italian Financial System
In: The Italian Banking System
by Valeria Venturelli
- 35-55 Restructuring the Regulator
In: The Nigerian Banking Sector Reforms
by Seth Apati
- 36-52 Non—Banking Financial Institutions and Capital Markets
In: Greek Banking
by Fotios Pasiouras
- 37-57 Freedom for Manoeuvre: The Norwegian Gold Standard Experience, 1874–1914
In: The Gold Standard Peripheries
by Lars Fredrik Øksendal
- 38-74 The Guarantee System in France
In: Credit Guarantee Institutions and SME Finance
by Pasqualina Porretta & Ignace G. Bikoula
- 40-59 Global Banking and Systemic Risk
In: Basel III, the Devil and Global Banking
by Dimitris N. Chorafas
- 53-68 Central Banking and Policy Responses to the Crisis
In: Greek Banking
by Fotios Pasiouras
- 53-85 The Bancassurance Market in Europe
In: Bancassurance in Europe
by Massimo Caratelli
- 54-67 Italy: Finance in a Fascist State
In: Financial Structures and Regulation: A Comparison of Crises in the UK, USA and Italy
by Alessandro Roselli
- 55-66 Consolidation and Governance of Italian Banks
In: The Italian Banking System
by Andrea Landi
- 56-70 Does Size Matter? The Quest for Transnational Banks
In: The Nigerian Banking Sector Reforms
by Seth Apati
- 58-80 Price Stability in the Periphery during the International Gold Standard: Scandinavia
In: The Gold Standard Peripheries
by Ola Honningdal Grytten & Arngrim Hunnes
- 60-81 Basel III Is a Grand Compromise, Not a Bold Initiative
In: Basel III, the Devil and Global Banking
by Dimitris N. Chorafas
- 63-83 The Need for European Union Coordination of Corporate Income Taxes: Facts and Statistics
In: Corporate Income Tax Harmonization in the European Union
by Daniela Pîrvu
- 67-96 Performance and Efficiency of the Italian Banking System
In: The Italian Banking System
by Riccardo Ferretti & Marzia Torresetti & Paola Vezzani
- 69-82 Supervisory Framework
In: Greek Banking
by Fotios Pasiouras
- 71-77 Financial Deepening in the Three Economies
In: Financial Structures and Regulation: A Comparison of Crises in the UK, USA and Italy
by Alessandro Roselli
- 71-103 Policy on the Run: Currency Re-denomination and Bank Manipulation
In: The Nigerian Banking Sector Reforms
by Seth Apati
- 75-130 The Guarantee System in Italy
In: Credit Guarantee Institutions and SME Finance
by Paola Leone
- 78-103 The United Kingdom: Not So Stable
In: Financial Structures and Regulation: A Comparison of Crises in the UK, USA and Italy
by Alessandro Roselli
- 81-103 Monetary Policy in the Nordic Countries during the Classical Gold Standard Period: The Wicksellian View
In: The Gold Standard Peripheries
by Concepciôn García-Iglesias & Juha Kilponen
- 83-107 Retail Banking
In: Greek Banking
by Fotios Pasiouras
- 84-93 Objectives of Corporate Income Tax Coordination in the European Union
In: Corporate Income Tax Harmonization in the European Union
by Daniela Pîrvu
- 85-104 Is It Possible to Regulate a Global Financial Market in Perpetual Change?
In: Basel III, the Devil and Global Banking
by Dimitris N. Chorafas
- 86-114 The Regulatory Framework
In: Bancassurance in Europe
by Maria Grazia Starita
- 94-137 Coordination Systems of Corporate Income Tax in the European Union
In: Corporate Income Tax Harmonization in the European Union
by Daniela Pîrvu
- 97-115 Organisational and Business Models of Italian Banks
In: The Italian Banking System
by Stefano Cosma & Paola Vezzani
- 104-118 The United States: Big Government and Big Bank
In: Financial Structures and Regulation: A Comparison of Crises in the UK, USA and Italy
by Alessandro Roselli
- 104-140 Politics of Banking Reforms
In: The Nigerian Banking Sector Reforms
by Seth Apati
- 105-123 Capital Adequacy and Liquidity: the Devil is in Their Detail
In: Basel III, the Devil and Global Banking
by Dimitris N. Chorafas
- 107-129 Foreign Exchange Reserve Management in the Nineteenth Century: The National Bank of Belgium in the 1850s
In: The Gold Standard Peripheries
by Stefano Ugolini
- 108-127 Performance of the Banking Sector in Greece
In: Greek Banking
by Fotios Pasiouras
- 115-138 Insurance Financial Statements
In: Bancassurance in Europe
by Sabrina Pucci
- 116-139 Retail Banking for Households in Italy
In: The Italian Banking System
by Stefano Cosma
- 119-135 Italy’s Recovery
In: Financial Structures and Regulation: A Comparison of Crises in the UK, USA and Italy
by Alessandro Roselli
- 124-144 Home-Host Issues Haunt Bankers and Regulators
In: Basel III, the Devil and Global Banking
by Dimitris N. Chorafas
- 128-146 Banking Risks
In: Greek Banking
by Fotios Pasiouras
- 130-144 Belgian Monetary Policy under the Gold Standard during the Interwar Period
In: The Gold Standard Peripheries
by Herman Wee
- 131-169 The Guarantee System in Spain
In: Credit Guarantee Institutions and SME Finance
by Ida C. Panetta & Corrado Lo Cascio
- 138-149 Effects of Corporate Income Tax Harmonization/Coordination in the European Union
In: Corporate Income Tax Harmonization in the European Union
by Daniela Pîrvu
- 139-144 The Broad Framework
In: Financial Structures and Regulation: A Comparison of Crises in the UK, USA and Italy
by Alessandro Roselli
- 139-178 Studying the Bancassurance Phenomenon: A Literature Review
In: Bancassurance in Europe
by Ornella Ricci
- 140-169 Corporate and Investment Banking in Italy
In: The Italian Banking System
by Cesare Bisoni & Andrea Ferrari & Alessandro Giovanni Grasso
- 141-157 Corporate Governance and Restructuring
In: The Nigerian Banking Sector Reforms
by Seth Apati
- 145-149 Financial Structure of the Three Economies: Never So Deep
In: Financial Structures and Regulation: A Comparison of Crises in the UK, USA and Italy
by Alessandro Roselli
- 145-173 Floating against the Tide: Spanish Monetary Policy 1870–1931
In: The Gold Standard Peripheries
by Pablo Martín-Aceña & Elena Martínez-Ruiz & Pilar Nogues-Marco
- 147-166 Corporate Governance
In: Greek Banking
by Fotios Pasiouras
- 147-170 The Concept of Risk Management Must Be Thoroughly Revamped
In: Basel III, the Devil and Global Banking
by Dimitris N. Chorafas
- 150-164 Impact Assessment of the Common Consolidated Corporate Tax Base
In: Corporate Income Tax Harmonization in the European Union
by Daniela Pîrvu
- 150-194 Growth and Collapse of the Shadow Banking System in the United States
In: Financial Structures and Regulation: A Comparison of Crises in the UK, USA and Italy
by Alessandro Roselli
- 158-178 The Road Ahead: Sustainability of Bank Reforms
In: The Nigerian Banking Sector Reforms
by Seth Apati
- 165-184 Supporters and Opponents of Corporate Income Tax Coordination in the European Union
In: Corporate Income Tax Harmonization in the European Union
by Daniela Pîrvu
- 167-186 Recent Developments and Future Challenges
In: Greek Banking
by Fotios Pasiouras
- 170-191 Private Banking and Asset Management in Italy
In: The Italian Banking System
by Valeria Venturelli
- 170-210 The Guarantee System in Hungary
In: Credit Guarantee Institutions and SME Finance
by Paolo Capuano & Pasqualina Porretta
- 171-194 Correlation Risk Overwhelms the Global Banking Industry
In: Basel III, the Devil and Global Banking
by Dimitris N. Chorafas
- 174-187 Monetary Policy in Southeast Europe on the Road to the Gold Standard
In: The Gold Standard Peripheries
by Kalina Dimitrova & Luca Fantacci
- 179-186 Epilogue
In: The Nigerian Banking Sector Reforms
by Seth Apati
- 179-203 Studying the Bancassurance Phenomenon: An Empirical Exploratory Analysis on a European Sample
In: Bancassurance in Europe
by Franco Fiordelisi & Ornella Ricci
- 185-192 Conclusions
In: Corporate Income Tax Harmonization in the European Union
by Daniela Pîrvu
- 191-210 Domestic Public Debt, Gold Standard and Civil Wars: Institutional Interconnections in Nineteenth-Century Colombia
In: The Gold Standard Peripheries
by Angela Rojas Rivera
- 192-200 Italian Banks between Scylla and Charybdis?
In: The Italian Banking System
by Stefano Cosma & Elisabetta Gualandri
- 195-212 A Severe Test for London as World Financial Centre
In: Financial Structures and Regulation: A Comparison of Crises in the UK, USA and Italy
by Alessandro Roselli
- 195-215 Risk Control Requires Authority, Goals and Organization
In: Basel III, the Devil and Global Banking
by Dimitris N. Chorafas
- 204-217 Studying the Bancassurance Phenomenon: A Two-Sided Analysis on the Relevant Case of Italy
In: Bancassurance in Europe
by Franco Fiordelisi & Ornella Ricci
- 211-228 The Japanese Economy during the Interwar Period: Instability in the Financial System and the Impact of the World Depression
In: The Gold Standard Peripheries
by Masato Shizume
- 211-243 The Guarantee System in Argentina
In: Credit Guarantee Institutions and SME Finance
by Gianfranco A. Vento & Paolo Agnese
- 213-226 Italy: Financially More Stable, but Structural Problems Persist
In: Financial Structures and Regulation: A Comparison of Crises in the UK, USA and Italy
by Alessandro Roselli
- 218-222 Conclusions
In: Bancassurance in Europe
by Franco Fiordelisi & Ornella Ricci
- 219-240 By Salvaging Overleveraged Banks, Sovereigns Propagate Global Systemic Risk
In: Basel III, the Devil and Global Banking
by Dimitris N. Chorafas
- 227-236 Conclusion
In: Financial Structures and Regulation: A Comparison of Crises in the UK, USA and Italy
by Alessandro Roselli
- 231-244 The Euro and the Gold Standard: What are the Lessons?
In: The Gold Standard Peripheries
by Anders Ögren & Lars Fredrik Øksendal
- 241-266 What Is the Point of Central Banks’ Interventions?
In: Basel III, the Devil and Global Banking
by Dimitris N. Chorafas
- 244-286 The Guarantee System in Chile
In: Credit Guarantee Institutions and SME Finance
by Gianfranco A. Vento & Antonio La Colla
- 267-269 Epilog
In: Basel III, the Devil and Global Banking
by Dimitris N. Chorafas
- 287-326 A Comparative Analysis of Credit Guarantee Systems
In: Credit Guarantee Institutions and SME Finance
by Paola Leone & Pasqualina Porretta
2011
- 1-6 Introduction
In: European Banking
by Özlem Olgu
- 1-6 Introduction
In: Bank Performance, Risk and Firm Financing
by Philip Molyneux
- 1-7 Introduction
In: Bank Strategy, Governance and Ratings
by Philip Molyneux
- 1-7 Introduction
In: Risk Tolerance in Financial Decision Making
by Caterina Lucarelli
- 1-9 Commercial Bank Instability
In: Regulation and Instability in U.S. Commercial Banking
by Jill M. Hendrickson
- 1-13 Introduction: What's It All About?
In: The Evolution of Nordic Finance
by Steffen E. Andersen
- 1-15 Introduction and Summary
In: Japan’s Financial Slump
by Yasushi Suzuki
- 1-21 Introduction
In: Corporate and Social Transformation of Money and Banking
by Simon Mouatt & Carl Adams
- 3-8 Booms and Busts in Private Capital Flows to Emerging Asia since the 1990s
In: Emerging Asia
by Ramkishen S. Rajan
- 3-15 Banking System Features and History
In: Banking in China
by Violaine Cousin
- 3-21 The World’s New Normal Economic System
In: Sovereign Debt Crisis
by Dimitris N. Chorafas
- 7-22 Creating a Functioning European Union
In: European Banking
by Özlem Olgu
- 7-31 Bank Size, Market Power and Financial Stability
In: Bank Performance, Risk and Firm Financing
by Joaquín Maudos & Juan Fernández Guevara
- 8-32 An Examination of Cross-Border Strategies in Banking
In: Bank Strategy, Governance and Ratings
by Barry Howcroft & Rehan ul-Haq & Chris Carr
- 8-66 The Role of Risk in the Investment Decision Process: Traditional vs Behavioural Finance
In: Risk Tolerance in Financial Decision Making
by Camilla Mazzoli & Nicoletta Marinelli
- 9-16 Asia As a Source of Capital
In: Emerging Asia
by Rabin Hattari
- 10-20 Theories of Bank Regulation
In: Regulation and Instability in U.S. Commercial Banking
by Jill M. Hendrickson
- 14-41 Sweden-Finland, ca. 1650–1817: Wilderness Replaced by Confusion
In: The Evolution of Nordic Finance
by Steffen E. Andersen
- 16-48 Theoretical Framework and Basic Analysis of Monitoring Activities
In: Japan’s Financial Slump
by Yasushi Suzuki
- 17-21 Will the US Dollar Remain the Single Global Currency?
In: Emerging Asia
by Sasidaran Gopalan
- 21-41 The State as Regulator
In: Banking in China
by Violaine Cousin
- 21-73 Antebellum Banking: 1781–1863
In: Regulation and Instability in U.S. Commercial Banking
by Jill M. Hendrickson
- 22-25 Exchange Rate Regimes in Asia
In: Emerging Asia
by Ramkishen S. Rajan
- 22-40 The Newly Poor
In: Sovereign Debt Crisis
by Dimitris N. Chorafas
- 23-38 Enlargement of the European Union
In: European Banking
by Özlem Olgu
- 25-55 Monetary Monopoly as Structural Cause for Systemic Financial Instability?
In: Corporate and Social Transformation of Money and Banking
by Bernard Lietaer
- 26-30 East Asia and the Real Exchange Rate
In: Emerging Asia
by Javier H. Beverinotti
- 32-54 Bank Risk and Analysts’ Forecasts
In: Bank Performance, Risk and Firm Financing
by Mario Anolli & Elena Beccalli
- 33-36 The Problem with Exchange Rate Volatility
In: Emerging Asia
by Ramkishen S. Rajan
- 33-48 Governing British Banks
In: Bank Strategy, Governance and Ratings
by Andy Mullineux
- 37-42 Capital Controls: No Longer Unorthodox
In: Emerging Asia
by Ramkishen S. Rajan
- 39-86 Macroeconomic Structure of the European Union
In: European Banking
by Özlem Olgu
- 41-58 The Salient Problem is Rights Without Responsibilities
In: Sovereign Debt Crisis
by Dimitris N. Chorafas
- 42-49 The State and the Banking Safety Net
In: Banking in China
by Violaine Cousin
- 42-63 Denmark-Norway in the Age of Globalization, 1736–1814
In: The Evolution of Nordic Finance
by Steffen E. Andersen
- 43-48 Reconsidering the Tobin Tax
In: Emerging Asia
by Ramkishen S. Rajan
- 49-53 Sovereign Debt Defaults: Concerns and Lessons
In: Emerging Asia
by Ramkishen S. Rajan
- 49-71 Changes in Board Composition and Compensation in Banking from 1999 to 2008
In: Bank Strategy, Governance and Ratings
by Pablo Andrés-Alonso & Eleuterio Vallelado-González
- 49-76 Characteristics of the ‘Traditional’ Japanese and Anglo-American Financial Systems
In: Japan’s Financial Slump
by Yasushi Suzuki
- 50-55 Further Roles of the State
In: Banking in China
by Violaine Cousin
- 54-59 Banking Sector Internationalisation in Asia
In: Emerging Asia
by Sasidaran Gopalan
- 55-82 Foreign Banks in Central Eastern Europe: Impact of Foreign Governance on Bank Performance
In: Bank Performance, Risk and Firm Financing
by Ewa Miklaszewska & Katarzyna Mikolajczyk
- 56-70 Marx’s Big Idea
In: Corporate and Social Transformation of Money and Banking
by Nick Potts
- 56-71 State Interference
In: Banking in China
by Violaine Cousin
- 61-78 Japanification
In: Sovereign Debt Crisis
by Dimitris N. Chorafas
- 63-67 The Global Financial Crisis of 2008–2009: Implications for Emerging Asia
In: Emerging Asia
by Ramkishen S. Rajan
- 64-91 Denmark, 1818–1918: A Dismembered Country
In: The Evolution of Nordic Finance
by Steffen E. Andersen
- 67-80 Household Behaviour and Debt Demand
In: Risk Tolerance in Financial Decision Making
by Daniela Vandone
- 68-74 Sequencing of Regional Cooperation in Asia: The Real and Financial Dimensions
In: Emerging Asia
by Ramkishen S. Rajan
- 71-86 When is a Financial Crisis not a Financial Crisis?
In: Corporate and Social Transformation of Money and Banking
by Nick Potts
- 72-93 The Governance of Executive Remuneration during the Crisis: Evidence from Italy
In: Bank Strategy, Governance and Ratings
by Marcello Bianchi & Angela Ciavarella & Valerio Novembre & Rossella Signoretti
- 74-114 National Banking Era: 1864–1912
In: Regulation and Instability in U.S. Commercial Banking
by Jill M. Hendrickson
- 75-79 Revisiting Asian Monetary and Financial Cooperation
In: Emerging Asia
by Ramkishen S. Rajan
- 77-117 Economic Environmental Changes and Institutional Changes
In: Japan’s Financial Slump
by Yasushi Suzuki
- 79-91 Financial Intermediation
In: Banking in China
by Violaine Cousin
- 79-98 Conventional and Unconventional Weapons in a Central Bank’s Arsenal
In: Sovereign Debt Crisis
by Dimitris N. Chorafas
- 80-84 The Idea and Reality of the Asian Currency Unit (ACU)
In: Emerging Asia
by Ramkishen S. Rajan
- 81-112 The Traditional Approach to Risk Tolerance
In: Risk Tolerance in Financial Decision Making
by Nicoletta Marinelli & Camilla Mazzoli
- 83-105 Financial Crisis and Bank Profitability
In: Bank Performance, Risk and Firm Financing
by Ted Lindblom & Magnus Olsson & Magnus Willesson
- 85-88 Asia in the G20: Monetary and Financial Considerations
In: Emerging Asia
by Sasidaran Gopalan
- 87-102 The Dissolution of the Financial State
In: Corporate and Social Transformation of Money and Banking
by Simon Mouatt
- 87-121 Recent Structure of European Banking
In: European Banking
by Özlem Olgu
- 91-98 The Global Financial Crisis and the Bank Lending Channel
In: Emerging Asia
by M. Shahidul Islam
- 92-104 New Forms of Financial Intermediation
In: Banking in China
by Violaine Cousin
- 92-118 Finland, 1809–1917: A Changed World
In: The Evolution of Nordic Finance
by Steffen E. Andersen
- 94-108 On the Relationship between Bank CDS Spreads and Balance Sheet Indicators of Bank Risk
In: Bank Strategy, Governance and Ratings
by Laura Chiaramonte & Barbara Casu
- 99-103 Macroeconomic Management during a Period of Plenty in India
In: Emerging Asia
by Ramkishen S. Rajan
- 99-116 Fiscal Policies, Spending Policies and Conflicting Aims
In: Sovereign Debt Crisis
by Dimitris N. Chorafas
- 103-117 The Corporate Subjugation of Money and Banking
In: Corporate and Social Transformation of Money and Banking
by Simon Mouatt
- 104-111 Post-Global Financial Crisis: Heating Up of the Inflation Debate in India
In: Emerging Asia
by Venkataramana Yanamandra
- 106-134 Asset-Backed Securitization and Financial Stability: The Downgrading Delay Effect
In: Bank Performance, Risk and Firm Financing
by Mario Torre & Fabiomassimo Mango
- 109-133 Are the Ratings Good Indicators of the Creditworthiness of the Entities that Qualify?
In: Bank Strategy, Governance and Ratings
by Carlos Salvador Muñoz & José Manuel Pastor & Juan Francisco Fernández Guevara
- 111-122 Large Commercial Banks
In: Banking in China
by Violaine Cousin
- 112-115 India’s International Reserves: How Diversified?
In: Emerging Asia
by Sasidaran Gopalan
- 113-132 Risk of Over-Indebtedness and Behavioural Factors
In: Risk Tolerance in Financial Decision Making
by Luisa Anderloni & Daniela Vandone
- 115-163 Era of Instability and Change: 1913–1944
In: Regulation and Instability in U.S. Commercial Banking
by Jill M. Hendrickson
- 116-122 The Importance of Remittances in India and South Asia
In: Emerging Asia
by Sasidaran Gopalan
- 117-134 Restructuring Sovereign Balance Sheets
In: Sovereign Debt Crisis
by Dimitris N. Chorafas
- 118-141 The LTCB Collapse: A Case Study
In: Japan’s Financial Slump
by Yasushi Suzuki
- 119-139 Norway, 1814–1918: From Province to Nation
In: The Evolution of Nordic Finance
by Steffen E. Andersen
- 121-132 The Emergence of Non-Banks: E-Commerce Driven Competition in the Financial Sector
In: Corporate and Social Transformation of Money and Banking
by Carl Adams
- 122-172 Performance of European Banks
In: European Banking
by Özlem Olgu
- 123-132 Smaller Local Banks
In: Banking in China
by Violaine Cousin
- 125-127 Foreign Portfolio versus Foreign Direct Investment Flows: Are They So Different?
In: Emerging Asia
by Ramkishen S. Rajan
- 128-136 Intra-Asian Foreign Direct Investment Flows
In: Emerging Asia
by Rabin Hattari
- 133-137 Foreign Banks
In: Banking in China
by Violaine Cousin
- 133-147 Changing Payment Systems
In: Corporate and Social Transformation of Money and Banking
by Carl Adams
- 133-152 Decision Making: Psychological Perspective
In: Risk Tolerance in Financial Decision Making
by Gianni Brighetti & Cristina Ottaviani & Valeria Nucifora & Rosita Borlimi
- 134-156 The Information Content of Sovereign Watchlist and Outlook: S&P versus Moody’s
In: Bank Strategy, Governance and Ratings
by Rasha Alsakka & Owain Gwilym
- 135-153 A Revenue-Based Frontier Measure of Banking Competition
In: Bank Performance, Risk and Firm Financing
by Santiago Carbó-Valverde & David Humphrey & Francisco Rodríguez Fernández
- 137-144 Revisiting India’s Foreign Direct Investment Numbers
In: Emerging Asia
by Sasidaran Gopalan
- 137-153 Woes of Euroland’s Financial Integration
In: Sovereign Debt Crisis
by Dimitris N. Chorafas
- 138-148 Rural Financial Institutions
In: Banking in China
by Violaine Cousin
- 140-163 Sweden, 1814–1916: First Banking Act in the Nordics
In: The Evolution of Nordic Finance
by Steffen E. Andersen
- 142-173 Intensified Uncertainty: The Political and Economic Reality of the 1997–98 Financial Crisis and Prolonged Financial Stagnation in Japan
In: Japan’s Financial Slump
by Yasushi Suzuki
- 145-149 Attracting Foreign Direct Investment: The Role of Financial and Fiscal Incentives
In: Emerging Asia
by Ramkishen S. Rajan
- 148-159 Ascendant Corporate Monies: Electronic Money in an Electronic World
In: Corporate and Social Transformation of Money and Banking
by Carl Adams
- 150-154 Global Competition for Foreign Direct Investment and Investment Promotion
In: Emerging Asia
by Ramkishen S. Rajan
- 153-162 The Layout of the Empirical Analysis
In: Risk Tolerance in Financial Decision Making
by Caterina Lucarelli & Cristina Ottaviani & Daniela Vandone
- 154-170 Sovereign Risk: Case Study on Greece
In: Sovereign Debt Crisis
by Dimitris N. Chorafas
- 154-173 Regulation and Bank Performance in Europe
In: Bank Performance, Risk and Firm Financing
by Georgios E. Chortareas & Claudia Girardone & Alexia Ventouri
- 155-180 Non-performing Loans
In: Banking in China
by Violaine Cousin
- 157-193 Errors in Individual Risk Tolerance
In: Bank Strategy, Governance and Ratings
by Caterina Lucarelli & Gianni Brighetti