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Palgrave Macmillan Studies in Banking and Financial Institutions

From Palgrave Macmillan
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Conclusions
Óscar López- de-Foronda Pérez
Tax Evasion, Tax Administration, and the Impact of Growth: Tax Enforcement as Regulatory Failure in a High Tax Rates, High Tax Evasion, and Low-Growth Economic Environment
Yiolanda Vasilopoulou and Dimitrios Thomakos
A Comparison between Valuation Metrics in a Real Case
Federico Beltrame and Daniele Previtali
Bank of Canada
Felix I. Lessambo
The Bursting of the Bubble: Savings Banks, a Death Foretold
Gabriel Tortella and José Luis García Ruiz
Impact of Corporate Governance on Financial Markets
André Baladi
Too Small or Too Low? New Evidence on the Four-Factor Model
Paola Brighi, Stefano d’Addona and Antonio Carlo Francesco Bina
Conclusion
Mitsuhiko Nakano
Analysis of Banks with State Participation Functioning the Role of Development Banks in the Global and National Dimensions
Vitalii Klevtcov and Artem Zamlelyy
Commissione Nazionale per le Società e la Borsa (Consob)
Mirella Pellegrini and Vittorio Mirra
Distribution Channels
Robert L. Carter and Peter Falush
Home Ownership: Shelter or Burden?
Dimitris N. Chorafas
The Impact of Risk Culture on Bank Reputation
Giampaolo Gabbi, Mattia Pianorsi and Maria Gaia Soana
Cooperative Banking in the Ten Newly Admitted EU Member Countries in 2004
Matteo Cotugno
FinTech and the Future of Banking
Andrada Bilan, Hans Degryse, Kuchulain O’Flynn and Steven Ongena
AML/CFT and Cybersecurity Laws in Brazil
Felix I. Lessambo
The Consumer’s Financial Capability: a Regulatory Perspective
Gianni Nicolini
Conclusion
Yong Tan
Epilogue
Seth Apati
Studying the Bancassurance Phenomenon: An Empirical Exploratory Analysis on a European Sample
Franco Fiordelisi and Ornella Ricci
The Banks’ Back Offices
Dominique Rambure and Alec Nacamuli
Exports and Economic Growth of East European Economies, 1996–2007
Shahdad Naghshpour and Bruno S. Sergi
Conclusions
Carlo Gola and Alessandro Roselli
The Intersection Between Non-bank Financial Intermediation, Capital Market Development, and Bank Risk: The Case of Emerging Economies
Sheunesu Zhou and Mthuthuzeli Qwabe
Capital Adequacy and Risk Management
Violaine Cousin
Norges Bank and the Four Criteria
Steffen Elkiær Andersen
The Determinants of Loan Loss Provisions: An Analysis of the Greek Banking System in Light of the Sovereign Debt Crisis
Platon Monokroussos, Dimitrios Thomakos, Thomas Alexopoulos and Eleni Lydia Tsioli
Diversification Strategies and Performance in the Italian Banking System
Paola Brighi and Valeria Venturelli
The Impact of Internal Corporate Governance Mechanisms on Corporate Social Performance in the Banking Industry
José L. Fernández Sánchez, María D. Odriozola and Manuel Luna
The Causes of the Failure of Islamic Banking and Finance in Pakistan
Mohammad Mansoor Khan and Muhammad Bhatti
Impact of Monetary Policy and Bank Regulations on Efficiency
Rym Ayadi and Sami Mouley
Results on the Investment Side
Caterina Lucarelli
Towards a Monetary Ecology
Bernard Lietaer
Investment Strategies of Institutional Investors: An International Comparison of Sovereign Pension and Social Security Reserve Funds
Alberto Dreassi, Stefano Miani and Andrea Paltrinieri
IBANs or IPANs? Creating a Level Playing Field between Bank and Non-Bank Payment Service Providers
Jakub Górka
Measuring Value in Stock Exchanges’ Mergers
Josanco Floreani and Maurizio Polato
Portuguese Banks and Their Expansion in Portuguese-Language Countries
Anabela Sérgio
Evolution of the Central Bank of Nigeria
Yomi Makanjuola
Towards a Macroprudential Policy in the EU
Elisabetta Gualandri and Mario Noera
Conclusions
Valerio Lemma
Business Transformation, Strategy, and Organization: The Issue is in the Execution
Anna Omarini
Why do Banking Crises Occur? An Evolutionary Model of Swedish Banking Crises
Hans Sjögren and Sverre Knutsen
Do Individual Investors Drive Volatility? Evidence from the Robintrack Dataset
Timothy King and Ville Valkama
AML/CFT and Cybersecurity Laws in Mexico
Felix I. Lessambo
Financial Dualism in Ghana: The Implications for Monetary Policy on Loan Variations
P. Adjei and R. K. Ayisi
Central Bank Independence, Exchange Rate Regime, Monetary Policy and Inflation in Africa
Abel M. Agoba, Vera Fiador, Emmanuel Sarpong-Kumankoma and Jarjisu Sa-Aadu
Optimized Funding
Djurdjica Ognjenovic
Responsibilities of Financial Regulation
Dimitris N. Chorafas
Turkey
A. Cimenoglu, M. Ferrazzi and D. Revoltella
Portfolio Management
Tommaso Giordani and Corrado Giannasca
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