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Palgrave Macmillan Studies in Banking and Financial Institutions

From Palgrave Macmillan
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Indonesia
P. Bongini
Conclusion
Angela Maddaloni and Giulia Scardozzi
ESG Default Risk Mitigation Effect: A Time-Sectorial Analysis
Egidio Palmieri, Enrico Fioravante Geretto and Maurizio Polato
Conventional and Unconventional Weapons in a Central Bank’s Arsenal
Dimitris N. Chorafas
Literature Review on Bank Efficiency and Bank Risk
Yong Tan
Migration of Business Models
Rym Ayadi
Financial Intermediation
Violaine Cousin
Why Do US Banks React Differently to Short Selling Bans?
Daniele Angelo Previati, Giuseppe Galloppo, Mauro Aliano and Viktoriia Paimanova
The Modernization of the National Bank of Sweden: The Riksbank
Anders Ögren
AML/CFT and Cybersecurity Laws in the European Union
Felix I. Lessambo
Credit Guarantees: The Role in Bank Lending
Paola Ferretti
The Stability of the British Banking Sector
Carlo Gola and Alessandro Roselli
Shareholder Value and Efficiency of Cooperative Banks in Europe
Franco Fiordelisi
The Financing of Italian Firms and the Credit Crunch: Findings and Exit Strategies
Elisabetta Gualandri and Valeria Venturelli
Fair Value Accounting (FVA) in the Banking Sector
Elisa Menicucci
The Idea and Reality of the Asian Currency Unit (ACU)
Ramkishen Rajan
Does Asset-Backed Securitization Affect the Credit Risk of the Originator Banks? The Italian Case
Francesca Battaglia and Maria Mazzuca
The Deutsche Bundesbank
Felix I. Lessambo
The Traditional Approach to Risk Tolerance
Nicoletta Marinelli and Camilla Mazzoli
Financial Inclusion and Monetary Policy Effectiveness in Ghana
William Godfred Cantah, James Peprah and Paul Owusu Takyi
Monetary Policy in the Nordic Countries during the Classical Gold Standard Period: The Wicksellian View
Concepciôn García-Iglesias and Juha Kilponen
The Single Resolution Mechanism
Angelo Baglioni
Italy’s Supplementary Pension System
Raffaele Capuano
Non-performing Loans
Violaine Cousin
The Jewel in the Crown
Imad A. Moosa
Chasing the Tail of Financial Stability? Solutions to the Last Crisis Are the Seeds for the Next One
Marcel Kasumovich
The Existence and Role of Bank Risk Committees Around the Global Financial Crisis
Selena Aureli, Paola Brighi and Muddassar Malik
The Scandinavian Currency Union (1873–1914)
Steffen Elkiær Andersen
Inter-bank Market and Liquidity Distribution during the Great Financial Crisis: The e-MID Case
Gianfranco A. Vento and Pasquale Ganga
Financial Exclusion in the US
Santiago Carbo Valverde, Edward P. M. Gardener and Philip Molyneux
Commercial Insurances
Robert L. Carter and Peter Falush
The Regulatory Framework and Initiatives
Alessandra Tanda and Cristiana-Maria Schena
Performance and Efficiency of the Portuguese Banking System
Mário Coutinho Santos
The Objectives and Achievements of Islamic Finance: An Analysis
Fayaz Ahmad Lone
Transformations of Care and Community
Aisling Tuite
Credit Access for Small Firms in the Euro Area: Does Gender Matter?
Maria Lucia Stefani and Valerio Vacca
Measuring the Cash Flows of Banks: The FCFA Asset-Side Approach
Federico Beltrame and Daniele Previtali
Overview of the National Banking Systems and Reforms
Rym Ayadi and Sami Mouley
Retail Banking
Fotios Pasiouras
The Assessment of the Net Stable Funding Ratio (NSFR) Value. Evidence from the Financial Crisis
Laura Chiaramonte, Barbara Casu and Roberto Bottiglia
Making Profits in the New Competitive and Regulatory Framework
Mariarosa Borroni and Simone Rossi
Financial Crisis and Bank Profitability
Ted Lindblom, Magnus Olsson and Magnus Willesson
Objectives of Corporate Income Tax Coordination in the European Union
Daniela Pîrvu
Deposit Insurance in Italy: From Italian Banking Law to EU Reforms
Francesca Pluchino
Affordable Housing Finance in Australia
Kim Hawtrey
The Bank-Company Relationship
Vincenzo Formisano
Rating Systems: A Dual Track for Screening and Monitoring
Michele Modina
Asia in the G20: Monetary and Financial Considerations
Sasidaran Gopalan
Using E from ESG in Systemic Risk Measurement
Ewa Dziwok, Marta Anita Karaś and Michał Stachura
Conclusion
Marta Božina Beroš
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