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Palgrave Macmillan Studies in Banking and Financial Institutions

From Palgrave Macmillan
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Stock Market Integration in the Southern African Development Community: Non-Bank Financial Intermediation vs Capital Market Development
Nomusa Ndlovu, Nozuko Lawana, Desiree Hunter, Andiswa Jiza and Forget Mingiri Kapingura
Worthy of Bailout: To be or Not to be?
Imad A. Moosa
Regulation of Markets in Financial Instruments in Italy and in the European Union: General Principles
Salvatore Providenti
Conclusion
J. J. Woo
The Profit Generation Process in Banking
Franco Fiordelisi
Role of National Currencies in Transforming International Monetary System
Vladimir Shapovalov
Are the Ratings Good Indicators of the Creditworthiness of the Entities that Qualify?
Carlos Salvador, José Manuel Pastor and Juan Francisco Fernández Guevara
Model Validation
Antonio Arfé and Paolo Gianturco
Reputational Risk in Banking: Important to Whom?
Ewa Miklaszewska and Krzysztof Kil
Does the Team Manager Earn More than His Coached Players? Analysis of the Earnings of Italian Asset Management Companies, and their Portfolio Companies, in the Field of Private Equity
Elisa Giaretta and Giusy Chesini
The Mega-Bankruptcies of the Early 2000s
Vincenzo D’Apice and Giovanni Ferri
The Role of Equity Markets
Fabio Braga and Massimo Demasi
Resolution of Recapitalisation through Bridge Banks
Yomi Makanjuola
Industry Specialization
Andrea Schertler
Cash Holdings in Germany and the Demand for “German” Banknotes: What Role Is There for Cashless Payments?
Nikolaus Bartzsch and Franz Seitz
Performance of Banks in Turkey
Yener Altunbas, Alper Kara and Özlem Olgu
Financial Reforms, Competition, and Risk in Banking Markets
Barbara Casu, Alessandra Ferrari and Tianshu Zhao
The Banks Cost of Capital: Theories and Empirical Evidence
Federico Beltrame and Daniele Previtali
Large Commercial Banks
Violaine Cousin
The Missing Pillar: A European Deposit Insurance
Angelo Baglioni
The Nordic Experience: The Case of Denmark in 2005–2015
Niels Storm Stenbaek
Operational Risk Mitigation: Strategies and Tools
Giuliana Birindelli and Paola Ferretti
Real Estate Market
Gian Maria Tomat
Different Types of Regulation
Sunduzwayo Madise
India’s International Reserves: How Diversified?
Sasidaran Gopalan
Performance and Governance in Investment Management Companies
Maria Cristina Arcuri
Microfinance Performance
Marco Tutino
A Strategic Agenda for the Currency
Noël K. Tshiani
European Policy on Financial Exclusion and Bank Strategies
Santiago Carbo Valverde, Edward P. M. Gardener and Philip Molyneux
The Industrialization of Credit Risk
Dimitris N. Chorafas
Asset Allocation, Credit Regulation, and Banking Supervision
Dimitris N. Chorafas
Risk of Over-Indebtedness and Behavioural Factors
Luisa Anderloni and Daniela Vandone
Management of Extreme Events in Corporate World
Pascal vander Straeten
AML/CFT and Cybersecurity Laws in Spain
Felix I. Lessambo
Summary
Małgorzata Iwanicz-Drozdowska
Banking and Financial Systems in Gulf Cooperation Council (GCC) Countries
Philip Molyneux and Munawar Iqbal
Bank Size, Consolidation and Operational Risk
Veronica Crescenzo and Flavio Pichler
Market Integration 1830–1890
Håkan Lobell
Non-Standard Operations in the Shadow Banking System
Valerio Lemma
Valuation of ABS Under Asymmetric Information
Solomon Deku and Alper Kara
Major Asian Payment Systems
Dominique Rambure and Alec Nacamuli
Microcredit Securitization
Mario Torre and Fabiomassimo Mango
The Central Bank of Spain (Banco de España)
Felix I. Lessambo
Credit Guarantee Institutions, Performance and Risk Analysis: An Experimental Scoring
Paola Leone, Ida Panetta and Pasqualina Porretta
Banking under Franco
Gabriel Tortella and José Luis García Ruiz
Insurance Financial Statements
Sabrina Pucci
Era of Instability and Change: 1913–1944
Jill M. Hendrickson
Retail Banking for Households in Italy
Stefano Cosma
The Friday 13th or Friday 17th Effect for European REIT Investors
Gianluca Mattarocci
The Second Pillar of the Banking Union: From the National Resolution Authorities to the Single Resolution Mechanism
Giuseppe Boccuzzi
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