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Palgrave Macmillan Studies in Banking and Financial Institutions

From Palgrave Macmillan
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India
S. Chiarlone and S. Ghosh
Financial Analyst Recommendation Driven Funds: A Risk Adjusted Measure Analysis
Giuseppe Galloppo
Restructuring Tools and Their Costs
Małgorzata Iwanicz-Drozdowska, Paweł Smaga and Bartosz Witkowski
Does Size Matter? The Quest for Transnational Banks
Seth Apati
Marx’s Big Idea
Nick Potts
Electronic Money Institutions and Payment Institutions
Francesco Ciraolo
Fighting Fraud and Corruption in European Structural and Investment Funds
Jorge Gallud Cano, Thomas Baumgärtler and Philipp Eudelle
AML/CFT and Cyber Security Laws in the United States
Felix I. Lessambo
The Configuration of the Banking System in the Last 15 Years
Carlo Gola and Alessandro Roselli
OTC Derivatives and Counterparty Credit Risk Mitigation: The OIS Discounting Framework
Paola Leone, Massimo Proietti, Pasqualina Porretta and Gianfranco A. Vento
A Historical and Regional Overview of Securitization
Solomon Deku and Alper Kara
Credit Development, Quality Deterioration and Intermediation Model: Does Bank Size Matter?
Franco Tutino, Concetta Colasimone and Giorgio Carlo Brugnoni
Bank Business Models and Financial Stability Assessment
Rym Ayadi
A Practical Perspective on the New Monetary Policy Agenda
Noël K. Tshiani
The Repression of Financial Markets
Ralph Sueppel
Price Stability in the Periphery during the International Gold Standard: Scandinavia
Ola Grytten and John Hunnes
Legal-Institutional Environment, Social Capital and the Cost of Bank Financing for SMEs: Evidence from the Euro Area
Emma Galli, Danilo V. Mascia and Stefania P. S. Rossi
Loan Origination and Monitoring Guidelines: How Do ESG Indicators Affect Firms’ Probability of Default?
Egidio Palmieri, Enrico Fioravante Geretto and Maurizio Polato
Traditional and R&D Investments: are They really Different?
Paola Brighi and Giuseppe Torluccio
Prudential Regulation Policy Responses to Financial Technological Innovations: The Future for Banks and Crypto-Finance?
Iris H. Y. Chiu
Cross-Border Bank M&A in Emerging Markets —Value Creation or Destruction?
Jonathan Williams and Angel Liao
Restructuring and Consolidation—Mergers and Acquisitions
T. R. Bishnoi and Sofia Devi
Private Individuals: Credit Risk Modeling
Corrado Giannasca and Tommaso Giordani
Prologue to the Crisis: 2000–2006
Jill M. Hendrickson
Managerial Social Capital and Firm Risk
Omar Al-Bataineh, Abdullah Iqbal and Timothy King
Monthly Calendar Anomalies
Gianluca Mattarocci
The Protection of Independence and Discretion
Pierluigi Ciocca
Merger and Acquisition in the Cooperative Banking Sector
V. Stefanelli
The Sources and Consequences of Bank Behaviour
Caner Bakir
Basel III Is a Grand Compromise, Not a Bold Initiative
Dimitris N. Chorafas
The Customer-Centric Perspective and How to Get It
Anna Omarini
Competitive Frontiers in P2P Lending Crowdfunding
Roberto Bottiglia
Life Insurance
Robert L. Carter and Peter Falush
The Intermediaries in the Risk Capital Industry
Alessandro G. Grasso
Japanification
Dimitris N. Chorafas
The Comprehensive Assessment
Angelo Baglioni
Credit Risk
Andrada Bilan, Hans Degryse, Kuchulain O’Flynn and Steven Ongena
The Globalization of Credit Risk
Dimitris N. Chorafas
Firm-based and Institutional-based Determinants of the Bank Debt Maturity: New Evidence for Developed Countries
Eleuterio Vallelado, Paolo Saona and Pablo San Martin
Creating Value in M&A: Does ESG Performance Matter for Acquirer Returns?
Lauri Hiltunen and Timothy King
Bank Market Structure and Competition in Africa
James Ntiamoah Doku, Emmanuel Mensah, Zangina Isshaq and Charles Adjasi
Crises of Subjects Operating in Italian Financial and Insurance Sectors
Valeria Leggio
Shadow Banking Entities
Valerio Lemma
Financing Constraints, Credit, Rationing, and Financing Obstacles: Evidence from Firm Level Data in South Eastern Europe
I. Hashi and V. Z. Toçi
Risks and Opportunities
Rym Ayadi and Emrah Arbak
Collective Portfolio Management
Valerio Lemma
The Need for European Union Coordination of Corporate Income Taxes: Facts and Statistics
Daniela Pîrvu
The Global Financial Crisis of 2008–2009: Implications for Emerging Asia
Ramkishen Rajan
Market Reactions to Resolution Events
Angela Maddaloni and Giulia Scardozzi
Conclusion: This Book’s Findings on Risk Management Competency Development
Eric H. Y. Koh
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