Palgrave Macmillan Studies in Banking and Financial Institutions
From Palgrave Macmillan
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- The Bank of France
- Felix I. Lessambo
- A Multifactorial Approach
- J. J. Woo
- Term Structure Models
- Gian Maria Tomat
- Empirical Evidence on Banks’ Performance Improvements After FinTech M&As
- Greta Benedetta Ferilli
- Effects of Securitization on Banks and the Financial System
- Solomon Deku and Alper Kara
- Monitoring the Microfinance Processes
- Monica Ortolani
- Non-performing Loans in Ireland: Property Development Versus Mortgage Lending
- Seamus Coffey
- 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
- The New Architecture of Rating Model
- Michele Modina
- The Reputable Underwriting Matching in Corporate Bond Issuances: Evidence for Non-financial Bonds
- Santiago Carbó-Valverde, Pedro Cuadros-Solas and Francisco Rodríguez-Fernández
- Rules Versus Discretion in Managing the Hong Kong Dollar, 1983–2007
- Tony Latter
- Distance and Efficiency in the Italian Banking System
- Cristina Bernini and Paola Brighi
- The Dual Debt Problem in the US and in Europe: Are Policy Makers Addressing the Right Issues?
- Michael Sakbani
- Hong Kong Mortgage Rate Setting — An Alternative Reference Rate?
- Jim Wong, Cho-Hoi Hui and Laurence Kang-Por Fung
- How the Great War Formed Scandinavian Central Banking
- Steffen Elkiær Andersen
- Shadow Banking Operations
- Valerio Lemma
- The Evolution of Secondary Financial Markets, 1820–1920
- Håkan Lindgren
- 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
- How Banks Create Shareholder Value
- Franco Fiordelisi and Philip Molyneux
- The Peculiarity of the UK Case: Mutual Building Societies
- Valeria Stefanelli
- Operational Risk Measurement: A Literature Review
- Francesco Giannone
- 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
- Shadow Banking and Systemic Risk: In Search of Regulatory Solutions
- Gianfranco A. Vento and Pasquale Ganga
- Payment Systems in Digital Economy
- Aleksei Bolonin and Vladimir Balykin
- Internal Controls and Risk Culture in Banks
- Doriana Cucinelli
- From Seeker Side to Investor Side: Gender Dynamics in UK Equity Crowdfunding Investments
- Valeria Venturelli, Alessia Pedrazzoli and Elisabetta Gualandri
- Organisational and Business Models of Italian Banks
- Stefano Cosma and Paola Vezzani
- Empirical Evidence on the Trinomial Bank-Firm Relationship, ESG, and Alternative Finance
- Egidio Palmieri and Enrico Fioravante Geretto
- The Governance of Securities Exchanges. New Insights
- Josanco Floreani and Maurizio Polato
- Risk of Business Models
- Rym Ayadi
- Rules Regarding Relations Between Intermediaries and Customers
- Diego Rossano
- The Turkish Banking Sector and Regional Economic Growth
- Yener Altunbas, Alper Kara and Özlem Olgu
- Market Timing with the Black-Litterman Model
- Ugo Pomante
- Markets and Market Infrastructures: Institutional and Prudential Aspects
- Carlo Gola and Alessandro Roselli
- Co-operative Banking in Austria
- Federica Poli
- 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
- Bank Liquidity Regulation Before the Global Financial Crisis
- Laura Chiaramonte
- Macroeconomic Management during a Period of Plenty in India
- Ramkishen Rajan
- Quantitative Easing vs Credit Easing
- Frans H. Brinkhuis
- 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
- 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
- Are Investors More Reactive to Simultaneous Changes in Chief Executive Officer and Chair Positions?
- Myriam García-Olalla, Eleuterio Vallelado and Jonathan Williams
- An Attempt at Synthesis: Financial Market Digitalisation Scenarios, Opportunities and Challenges
- Alessandra Tanda and Cristiana-Maria Schena