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Palgrave Macmillan Studies in Banking and Financial Institutions

From Palgrave Macmillan
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Stock Returns and Bank Ratings in the PIIGS
Carlos Salvador
Tax Evasion, Tax Morale, and the Case for Growth
Andreas Tsalas and Platon Monokroussos
Summary and Conclusions
Steffen Elkiær Andersen
Banking and Crisis in the Twenty-First Century: 2000–2010
Jill M. Hendrickson
The State-Issue of Currency without Usury
Peter Challen, Simon Mouatt and Rodney Shakespeare
Conclusion
Dominique Rambure and Alec Nacamuli
The Determinants of Household Debt Holding: An Empirical Analysis
Daniela Vandone and Cristina Ottaviani
Italian Banks Facing Basel 3 Higher Capital Requirements: Which Strategies Are Actually Feasible?
Franco Tutino, Giorgio Carlo Brugnoni and Maria Giovanna Siena
Concluding Remarks
Yener Altunbas, Blaise Gadanecz and Alper Kara
Necessary Reforms for Book-entry Securities
Alessandro V. Guccione
Istituto per la Vigilanza sulle Assicurazioni (Ivass)
Enrico Galanti and Patrizia Rosatone
Revisiting MSMEs Financing Through Banking Reform Processes: Assessing the Ghanaian Legal Experiences
Francis Kofi Korankye-Sakyi, Omo Oyeniyi Abe and Elijah Tukwariba Yin
Trillions of Dollars, Euros, and Pounds Thrown at the Problem
Dimitris N. Chorafas
The Impacts of IAS—IFRS on Cooperative Banking
Matteo Cotugno
Sovereign Wealth Funds: Strategies of Geo-Economic Power Projections
Gyula Csurgai
The Faustian Bargain of Capital Controls
Ásgeir Jónsson and Hersir Sigurgeirsson
Solvency, Liquidity, Asset-Backed Paper, and the Carry Trade
Dimitris N. Chorafas
Deposit Insurance in the European Union
Djurdjica Ognjenovic
The Japanese Economy during the Interwar Period: Instability in the Financial System and the Impact of the World Depression
Masato Shizume
The Central Bank of Russia
Felix I. Lessambo
Information TechnologyInformation Technology in Banking System
T. R. Bishnoi and Sofia Devi
Quo Vadis Global Financial Governance?
André Baladi
The Guarantee System in Argentina
Gianfranco A. Vento and Paolo Agnese
Efficiency and Productivity Change in Greek Banking: Methods and Recent Evidence
Georgios E. Chortareas, Claudia Girardone and Alexia Ventouri
Asset Management Issues in Sovereign Wealth Funds: An Empirical Analysis
Andrea Paltrinieri and Flavio Pichler
Chinese Banks and the Wider World
Violaine Cousin
Concluding Remarks
Imad A. Moosa
The EU’s Banking Industry and its Stress Testing
Dimitris N. Chorafas
Pension Funds and Prospects for Reforming the Russian Pension System as a Condition for the Qualitative Implementation of the State’s Social Policy
Aleksei Bolonin
Italy: Financially More Stable, but Structural Problems Persist
Alessandro Roselli
The Impact of ESG Score and Controversy on Stock Performance
Paola Brighi, Antonio Carlo Francesco Della Bina and Valeria Venturelli
Should Shareholders Just Vote No? Examining the Impact of Shareholder Proposals
Timothy King and Jonathan Williams
Measuring Provisions for Collateralized Retail Lending
Cho-Hoi Hui, Chi-Fai Lo, Eric Tak-Chuen Wong and Po-Kong Man
Conclusions and Recommendations
Anna Omarini
Evolution of the Finance Function in the Italian Local Public Bodies
Fabrizio Quarta and Pasquale Stefanizzi
Mobile Payments: The Second Wave
Malte Krueger
Can R&D Expenditures Affect Firm Market Value? An Empirical Analysis of a Panel of European Listed Firms
Andi Duqi and Giuseppe Torluccio
The Italian Minibonds Experience in Triveneto
Nicola Carta and Caterina Cruciani
The Impact of Nonperforming Loan Restructuring Programs in the European Union Following the Global Financial Crisis
Ewa Miklaszewska, Krzysztof Kil and Radosław Ciukaj
Influence of National Culture on Bank Risk-taking in the European System
Candida Bussoli
International and Regional Cooperation
Felix I. Lessambo
The Implications for Market Participants and Regulators
Gianni Brighetti, Caterina Lucarelli and Daniela Vandone
Conclusions
Rym Ayadi and Sami Mouley
Efficiency in Arab Banking
Philip Molyneux and Munawar Iqbal
Norway, 1918–2010: Saved by the North Sea
Steffen E. Andersen
Conclusion
Yomi Makanjuola
An Insight into Suitability Practice: Is a Standard Questionnaire the Answer?
Nicoletta Marinelli and Camilla Mazzoli
Conclusions
Sven Janssen
Conclusions
Franco Fiordelisi and Ornella Ricci
A New Retail Credit Risk Management Approach to Cope with the Crisis
Francesco Merlin
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