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