Handbook of Financial Integration
Edited by Guglielmo M. Caporale
in Books from Edward Elgar Publishing
Abstract:
This comprehensive Handbook deftly examines key aspects of financial integration, providing an overview of contemporary research and new perspectives. Employing state of the art econometric methods to obtain new empirical evidence, it will be critical for designing optimal policies, and appropriate investment and risk management strategies.
Keywords: Economics and Finance (search for similar items in EconPapers)
Date: 2024
ISBN: 9781803926360
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Chapters in this book:
- Ch 1 Introduction to the Handbook of Financial Integration: new research developments , pp 2-9

- Guglielmo Maria Caporale
- Ch 2 Measuring financial integration: more data, more countries, more expectations , pp 11-56

- Menzie D. Chinn and Hiro Ito
- Ch 3 Investor attention to news on financial integration and currency returns , pp 57-73

- Ilias Filippou, My T. Nguyen and Mark Taylor
- Ch 4 Contingent linear financial networks , pp 74-106

- Bomin Jiang, Roberto Rigobon and Munther A. Dahleh
- Ch 5 Shocks and global asset market connectedness , pp 108-133

- Marcello Pericoli and Kamil Yilmaz
- Ch 6 Global financial stress and financial transmission channels , pp 134-171

- Sandra Eickmeier, Norbert Metiu, Josefine Quast and Sabine Tanneberger
- Ch 7 The evolving landscape of energy finance: challenges and opportunities during global uncertainty , pp 172-191

- John W. Goodell and Shaen Corbet
- Ch 8 US municipal green bonds and financial integration , pp 192-205

- Guglielmo Maria Caporale and Nicola Spagnolo
- Ch 9 Investing through Fed regime changes in the post-crisis period , pp 206-223

- Haroldo Daltin and Michael Melvin
- Ch 10 The impact of trading fragmentation in securities markets , pp 224-238

- Giovanni Cespa
- Ch 11 Changes in economic and financial structure and the international integration of capital markets over the past century and a half , pp 240-254

- James R. Lothian
- Ch 12 Financial integration, institutional quality, and real exchange rates: evidence from emerging markets , pp 255-291

- Zunaira Aman, Sushanta Mallick and Ilayda Nemlioglu
- Ch 13 Measuring currency dominance , pp 292-311

- Joscha Beckmann
- Ch 14 Financial integration and exchange market pressure , pp 312-339

- Kate Phylaktis and Muhammad Aftab
- Ch 15 Firms, currency hedging, and financial derivatives , pp 340-370

- Laura Alfaro, Mauricio Calani and Liliana Varela
- Ch 16 The financial integration of banks: a survey , pp 372-387

- Destan Kirimhan and James Payne
- Ch 17 Transatlantic differences in bank resilience , pp 388-416

- Thomas Gehrig, Maria Chiara Iannino and Stephan Unger
- Ch 18 Proactive risk-taking and loan performance: evidence from bank holding companies , pp 417-441

- Iftekhar Hasan, Mingsheng Li, Liuling Liu and Yun Zhu
- Ch 19 Integration or fragmentation? A closer look at euro area financial markets , pp 443-469

- Martin Feldkircher and Karin Klieber
- Ch 20 European ‘fear’ indices , pp 470-494

- Wolfgang Aussenegg, Lukas Goetz and Ranko Jelic
- Ch 21 Financial integration and European tourism stocks , pp 495-538

- Guglielmo Maria Caporale, Stavroula Yfanti, Menelaos Karanasos and Jiaying Wu
- Ch 22 The European Banking Union: integrating supervisory approaches , pp 539-549

- Franco Fiordelisi and Giulia Scardozzi
- Ch 23 Financial integration and economic growth in Europe , pp 550-563

- Guglielmo Maria Caporale, Anamaria Diana Sova and Robert Sova
- Ch 24 The integration of the financial system in macroeconometric models for policy simulation , pp 565-583

- Riccardo Barbieri Hermitte, Carlo A. Favero, Valeria Macauda, Mara Meacci, Francesco Nucci and Cristian Tegami
- Ch 25 Cross-border banking, spillovers, and international macroprudential policy coordination , pp 584-605

- Pierre-Richard Agénor
- Ch 26 The central bank digital currency dimension in global financial integration , pp 606-642

- Georgios Chortareas, Eleftheria Kostika and Theodore Pelagidis
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