New Issues in Financial and Credit Markets
Edited by Franco Fiordelisi,
Philip Molyneux (p.molyneux@bangor.ac.uk) 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
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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
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Persistent link: https://EconPapers.repec.org/RePEc:pal:pmsbfi:978-0-230-30218-1
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http://www.palgrave.com/9780230302181
DOI: 10.1057/9780230302181
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