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Palgrave Macmillan Studies in Banking and Financial Institutions

From Palgrave Macmillan
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Conclusions
Rym Ayadi and Sami Mouley
The Implications for Market Participants and Regulators
Gianni Brighetti, Caterina Lucarelli and Daniela Vandone
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
Efficiency in Arab Banking
Philip Molyneux and Munawar Iqbal
Conclusions
Franco Fiordelisi and Ornella Ricci
Conclusions
Sven Janssen
The Future: Competition from the Technology Arena
Carl Adams
Banking Diversity and Trust in Banking Services
Marcin Idzik
Sources of Risk and Return in Different Bank Business Models: Comparing Poland with Global Trends
Ewa Miklaszewska and Katarzyna Mikolajczyk
By Salvaging Overleveraged Banks, Sovereigns Propagate Global Systemic Risk
Dimitris N. Chorafas
A New Retail Credit Risk Management Approach to Cope with the Crisis
Francesco Merlin
Corporate Disclosure Determinants: A Cross-Country Investigation
Vincenzo Farina
Epilogue
Yomi Makanjuola
Non-financial Rating and Socially Responsible Investment Reaction to Financial Turmoil
Helen Chiappini and Gianfranco A. Vento
Brazil Central Bank
Felix I. Lessambo
Central Bank Digital Currency and the Agenda of Monetary Devolution
Leonidas Zelmanovitz and Bruno Meyerhof Salama
The Bulgarian Cooperative Banking System
Matteo Cotugno
Microfinance Organizations in Russia and Abroad
Ksenia Trushina and Olesya Gracheva
The Crisis-withstanding Ability of the Chinese Banks
Violaine Cousin
Foreign Direct Investment, Innovation and Brain Drain in Greece: Turning a Problem into an Opportunity
Constantina Kottaridi
Summary and Conclusions
T. R. Bishnoi and Sofia Devi
Credit Supply and Bank Interest Rates in the Italian Regions
Roberto Malavasi and Mauro Aliano
The Drivers of Dividend Policies in Europe
Giusy Chesini and Elisa Giaretta
Bank’s Asset Quality Review Using Debt Service Coverage Ratio: An Empirical Investigation Across European Firms
Maurizio Polato and Federico Beltrame
International Debt and Globalization
Alexandre J. Vautravers
Conclusion
Alessandro Roselli
Concluding Remarks
Özlem Olgu
Micro-behavioral Characteristics in a Recessionary Environment: Moral Hazard and Strategic Default
Ioannis Asimakopoulos, Dimitrios Malliaropulos, Panagiotis K. Avramidis and Nickolaos G. Travlos
Monetary Policy, Central Banks’ Independence, and Financial Development in Africa
Joshua Yindenaba Abor, Abel M. Agoba, Zakari Mumuni and Alfred Yawson
The WTO’s Doha Development Agenda: An Unclear Roadmap
Sergio Marchi
Project Finance Exposures in the Supervisory Slotting Criteria Approach: Pricing and Judgemental Analysis
Pietro Marchetti and Anna Valeria Venneri
Concluding Remarks
V. Boscia, Alessandro Carretta and P. Schwizer
Persistent Differential Inflation Rates in the New Euro Member Countries: The Phillips Curve before and after Adopting the Euro
Marjan Senjur
Comparative Study of Mobile Money in Kenya and Malaŵi
Sunduzwayo Madise
Effectiveness of Credit Risks Management Policies Used by Ghanaian Commercial Banks in Agricultural Financing
Abraham Nyebar, Adefemi A. Obalade and Paul-Francois Muzindutsi
Lessons from the History of U.S. Banking and Regulation
Jill M. Hendrickson
The Euro and the Gold Standard: What are the Lessons?
Anders Ögren and Lars Fredrik Øksendal
Implications of Findings for Theory and Policy
Philemon Iko-Ojo Omede
The Global Systemic Risk has been Programmed for 2014
Dimitris N. Chorafas
Regulation of Shadow Banks and Its Implication for Financial Stability in Emerging Economies
Kehinde Damilola Ilesanmi
Central Bank of Argentina
Felix I. Lessambo
A Complementary and Competitive Monetary System for the Future?
Carl Adams and Simon Mouatt
Electronic Money Use: Evidence from Survey Data
David Pelilli
Bank Transaction Taxes: International Evidence and Potential Implications for Greece
Hiona Balfoussia, Dimitrios Malliaropulos, Dimitris Papageorgiou and Athanasios Tagkalakis
Single European Payment Area: Opportunities for Consumers and Corporates
Lucia Leonelli
Macro Stress Testing of the Philippines’ Top 10 UKBs: An Analysis of the Effect of Economic Distress on the Bank’s Credit Quality
Jovi Clemente Dacanay, Ella Mae Odtuhan Leonida and Michaela Nicole E. Meriño
Risk Governance in Pension Funds: Management Control in Dutch Pension Funds
Leo A. Eerden
Is There a Remedy for the Problems of Bank Supervision?
Dimitris N. Chorafas
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