New Issues in Financial and Credit Markets
Edited by Franco Fiordelisi,
Philip Molyneux () and
Daniele Previati
in Palgrave Macmillan Studies in Banking and Financial Institutions from Palgrave Macmillan, currently edited by Philip Molyneux
Date: 2010
ISBN: 978-0-230-30218-1
References: Add references at CitEc
Citations: View citations in EconPapers (2)
There are no downloads for this item, see the EconPapers FAQ for hints about obtaining it.
Chapters in this book:
- Introduction
- Franco Fiordelisi, Philip Molyneux and Daniele Previati
- China’s Macro-policy and Regulatory Framework of the Financial Sector to be Tested by the Global Economic Slowdown
- René W. H. Linden
- Financial Turmoil and Asymmetric Information Theory: Evidence from the e-Mid Platform
- Claudio Porzio, Francesca Battaglia, Antonio Meles and Maria Grazia Starita
- The Impact of European Financial Integration on Economic Growth
- Juan Fernández Guevara and Joaquin Maudos
- Can Financial Supervision Enhance the Central Bank’s Independence?
- Elena Seghezza and Giovanni B. Pittaluga
- The Impact of a Housing Price Bubble on the Intensity of the Recent Credit Crunch: Evidence from Different Countries
- José Manuel Pastor, Javier Quesada and Lorenzo Serrano
- Inter-bank Market and Liquidity Distribution during the Great Financial Crisis: The e-MID Case
- Gianfranco A. Vento and Pasquale Ganga
- Quantitative Easing vs Credit Easing
- Frans H. Brinkhuis
- Financial Reforms, Competition, and Risk in Banking Markets
- Barbara Casu, Alessandra Ferrari and Tianshu Zhao
- The Driving Forces of Credit Brokers’ Diffusion in Italy: An Empirical Analysis
- Federica Poli and Teodora Uberti
- Financial Constraints to Italian SME Growth: A Proposed Solution through VC and PE Financing
- Vincenzo Capizzi, Renato Giovannini and Valerio Pesic
- Transparency of Price Conditions in Consumer Credit: The Usage of the APR
- Massimo Caratelli
- Asset Management and Industry Portfolio Indices: Momentum and Reversal Returns
- Mario Toscano and Giuseppe Torluccio
- Duration Analysis: An Overview
- Göran Bergendahl and Ted Lindblom
- Biased or Unbiased Risk Tolerance in Financial Decision Making
- Caterina Lucarelli and Gianni Brighetti
- Banks’ Measurement of Operational Risk and the Effect on Regulatory Capital
- Ted Lindblom and Magnus Willesson
Related works:
This item may be available elsewhere in EconPapers: Search for items with the same title.
Export reference: BibTeX
RIS (EndNote, ProCite, RefMan)
HTML/Text
Persistent link: https://EconPapers.repec.org/RePEc:pal:pmsbfi:978-0-230-30218-1
Ordering information: This item can be ordered from
http://www.palgrave.com/9780230302181
DOI: 10.1057/9780230302181
Access Statistics for this book
More books in Palgrave Macmillan Studies in Banking and Financial Institutions from Palgrave Macmillan
Bibliographic data for series maintained by Sonal Shukla () and Springer Nature Abstracting and Indexing ().