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 ().
Access Statistics for this chapter series.
Is something missing from the series or not right? See the RePEc data check for the archive and series.
- A Multifactorial Approach
- J. J. Woo
- Diversification and Connections in Banking: First Findings
- Claudio Zara and Luca Cerrato
- Credit Supply and the Rise in Sovereign Debt Risk in the Eurozone
- Pierluigi Morelli, Giovanni B. Pittaluga and Elena Seghezza
- Coordination Systems of Corporate Income Tax in the European Union
- Daniela Pîrvu
- On the Relationship between Bank CDS Spreads and Balance Sheet Indicators of Bank Risk
- Laura Chiaramonte and Barbara Casu
- How Banks Create Shareholder Value
- Franco Fiordelisi and Philip Molyneux
- How the Great War Formed Scandinavian Central Banking
- Steffen Elkiær Andersen
- Distance and Efficiency in the Italian Banking System
- Cristina Bernini and Paola Brighi
- Rules Versus Discretion in Managing the Hong Kong Dollar, 1983–2007
- Tony Latter
- Shadow Banking Operations
- Valerio Lemma
- The Evolution of Secondary Financial Markets, 1820–1920
- Håkan Lindgren
- The Reputable Underwriting Matching in Corporate Bond Issuances: Evidence for Non-financial Bonds
- Santiago Carbó-Valverde, Pedro Cuadros-Solas and Francisco Rodríguez-Fernández
- The Dual Debt Problem in the US and in Europe: Are Policy Makers Addressing the Right Issues?
- Michael Sakbani
- The Peculiarity of the UK Case: Mutual Building Societies
- Valeria Stefanelli
- Hong Kong Mortgage Rate Setting — An Alternative Reference Rate?
- Jim Wong, Cho-Hoi Hui and Laurence Kang-Por Fung
- Operational Risk Measurement: A Literature Review
- Francesco Giannone
- The New Architecture of Rating Model
- Michele Modina
- Forecasting Models and Probabilistic Sensitivity Analysis: An Application to Bank’s Risk Appetite Thresholds Within the Risk Appetite Framework
- Maurizio Polato, Josanco Floreani, Giuseppe Giannelli and Nicola Novielli
- Shadow Banking and Systemic Risk: In Search of Regulatory Solutions
- Gianfranco A. Vento and Pasquale Ganga
- Capital Adequacy and Risk Management
- Violaine Cousin
- Bank Liquidity Creation and Regulatory Capital in Asia Pacific
- Xiaoqing Maggie Fu, Yongjia Rebecca Lin and Philip Molyneux
- Rules Regarding Relations Between Intermediaries and Customers
- Diego Rossano
- The Turkish Banking Sector and Regional Economic Growth
- Yener Altunbas, Alper Kara and Özlem Olgu
- Markets and Market Infrastructures: Institutional and Prudential Aspects
- Carlo Gola and Alessandro Roselli
- Market Timing with the Black-Litterman Model
- Ugo Pomante
- Internal Controls and Risk Culture in Banks
- Doriana Cucinelli
- Empirical Evidence on the Trinomial Bank-Firm Relationship, ESG, and Alternative Finance
- Egidio Palmieri and Enrico Fioravante Geretto
- Organisational and Business Models of Italian Banks
- Stefano Cosma and Paola Vezzani
- From Seeker Side to Investor Side: Gender Dynamics in UK Equity Crowdfunding Investments
- Valeria Venturelli, Alessia Pedrazzoli and Elisabetta Gualandri
- Risk of Business Models
- Rym Ayadi
- Payment Systems in Digital Economy
- Aleksei Bolonin and Vladimir Balykin
- Co-operative Banking in Austria
- Federica Poli
- The Governance of Securities Exchanges. New Insights
- Josanco Floreani and Maurizio Polato
- Bad Regulation: Basel 1 and Basel 2
- Imad A. Moosa
- Financial Exclusion in Europe
- Santiago Carbo Valverde, Edward P. M. Gardener and Philip Molyneux
- Efficiency, Persistence and Predictability of Central European Stock Markets
- Ladislav Krištoufek
- AML/CFT and Cybersecurity Laws in France
- Felix I. Lessambo
- Principles of the Optimal Government Regulation in the Financial Market
- Kristaps Freimanis and Maija Šenfelde
- Fiscal Policies, Spending Policies and Conflicting Aims
- Dimitris N. Chorafas
- Quantitative Easing vs Credit Easing
- Frans H. Brinkhuis
- Bank Liquidity Regulation Before the Global Financial Crisis
- Laura Chiaramonte
- Macroeconomic Management during a Period of Plenty in India
- Ramkishen Rajan
- The Impact of Deregulation and Re-regulation on Bank Efficiency: Evidence from Asia
- Bimei Deng, Barbara Casu and Alessandra Ferrari
- Financial Inclusion, Banking Sector Development, and Financial Stability in Africa
- Ebenezer Bugri Anarfo, Miracle Ntuli, Sarah Serwah Boateng and Joshua Yindenaba Abor
- An Attempt at Synthesis: Financial Market Digitalisation Scenarios, Opportunities and Challenges
- Alessandra Tanda and Cristiana-Maria Schena
- Community Banks and Lending Technologies: Evidence from the Italian Retail Market
- Carlo Milani
- Banks’ and Financial Institutions’ Decision to Participate in Loan Syndications
- Yener Altunbas, Blaise Gadanecz and Alper Kara
- Brazil
- M. Lossani, Luigi Ruggerone and M. Zaninelli
- Are Investors More Reactive to Simultaneous Changes in Chief Executive Officer and Chair Positions?
- Myriam García-Olalla, Eleuterio Vallelado and Jonathan Williams
- From Dictatorship to Republic: Spain and the Great Depression
- Gabriel Tortella and José Luis García Ruiz