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Palgrave Macmillan Studies in Banking and Financial Institutions

From Palgrave Macmillan
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Concluding Remarks
Vittorio Boscia, Alessandro Carretta and Paola Schwizer
The Guarantee System in Chile
Gianfranco A. Vento and Antonio La Colla
Credit Risk Disclosure Practices in the Annual Financial Reporting of Large Italian Banks
Enzo Scannella and Salvatore Polizzi
Institutional Aspects of the European Central Bank
Christos V. Gortsos
Central Bank of Mexico
Felix I. Lessambo
Does Board Composition Affect Strategic Frames of Banks?
Alessandro Carretta, Vincenzo Farina and Paola Schwizer
The Business of Clearing Cash Equities in Europe: Market Dynamics and Trends
Giusy Chesini
Sweden, 1918–2009: Too Good to Be True
Steffen E. Andersen
Swiss Financial Self-Regulation Mechanisms in the Fight Against Money Laundering and Terrorist Financing
Norberto Birchler
Responsible Principles in Banks: Short-Term Trend or Inevitability?
Inal Kishmariya
Coordination and Cooperation in Financial Regulation: Do Regulators Comply with Banking Culture
Alessandro Carretta, Vincenzo Farina and Paola Schwizer
Dealing with Monetary Pollution
Ásgeir Jónsson and Hersir Sigurgeirsson
Readiness of Deposit Guarantee Schemes to Participate in Resolution
Jakub Kerlin
Long-Range Financial Decision-Making: The Role of Episodic Prospection
Gianni Brighetti, Caterina Lucarelli, Nicoletta Marinelli and Giulia Giansiracusa
The Moderating Role of Supervision and Regulation on the Fintech-Financial Inclusion-Financial Stability Nexus in Sub-Saharan Africa
Tough Chinoda and Forget Mingiri Kapingura
Implications of Volatility for Uncovered Interest Parity Testing
Alexandra Horobet, Sorin Dumitrescu and Dan Gabriel Dumitrescu
Co-operative Banking in Germany
Federica Poli
Epilogue
Ruth Wandhöfer
Commissione di Vigilanza sui fondi Pensione (Covip)
Raffaele Capuano
The Digitalization of the European Banking Industry: Some Evidence
Santiago Carbó-Valverde, Pedro Cuadros-Solas, Cristina Gonnella and Francisco Rodríguez-Fernández
How Do Banks and Investment Funds Affect Family Risk-Taking? Evidence from the Financial Crisis
David Blanco-Alcántara, Jorge B. Farinha, Mauricio Jara-Bertín, Óscar López- de-Foronda and Marcos Santamaría-Mariscal
A New Risk-Adjusted Performance Approach for Measuring the Value of Securities Exchanges
Maurizio Polato and Josanco Floreani
Financial Distress, Moral Hazard Aspects and NPL Formation Under a Long-Lasting Recession: Empirical Evidence from the Greek Crisis
Panayotis Kapopoulos, Efthymios Argyropoulos and Kalliopi-Maria Zekente
The Saudi Arabia Monetary Authority
Felix I. Lessambo
Current Developments and Prospects for Arab Banks
Philip Molyneux and Munawar Iqbal
Determinants of Shareholder Value in European Banking and Shareholder Value Efficiency
Franco Fiordelisi and Philip Molyneux
Globalized Finance in Disarray
Shanti P. Chakravarty
Corporate Bonds for SMEs: A Study of Italian Minibonds
Roberto Malavasi, Giuseppe Riccio and Mauro Aliano
The Diffusion of Blockchain Technology for Financial Reporting Functions Seen Through the Lens of Norm Lifecycles
Tatiana King and Elizabeth Morton
The Role of Market and Cultural Diversification in the Evolution of the Polish Banking Sector
Lech Kurkliński
An Epidemiologic Approach of Financial Markets
Christian Viladent
Banks’ Risk Culture in Residential Mortgage and Cross-Selling Policies: Evidence from the Euro Area
Umberto Filotto, Claudio Giannotti, Gianluca Mattarocci and Xenia Scimone
Epilog
Dimitris N. Chorafas
Funding Deposit Insurance Schemes in the European Union
Djurdjica Ognjenovic
In Search of an Optimal Board of Directors for Banks
Pablo Andrés-Alonso, M. Elena Romero-Merino, Marcos Santamaría-Mariscal and Eleuterio Vallelado-González
Financial Intelligence Unit (FIU)
Italo Borrello
Managing the Risks of Financial Intermediaries: Transforming Approaches and Reality
Dmitry Panov and Irina Larionova
Assessing the Risk of Multiple Defaults in the Banking System
Ip-Wing Yu, Laurence Kang-Por Fung and Chi-Sang Tam
Evaluation of Lending Methodologies Used by Ghanaian Banks to Extend Credit to SMEs
Kofi Nyarko Gyimah, Joseph Olorunfemi Akande and Paul-Francois Muzindutsi
Rethinking Crypto-Regulation for Crypto-Investors in the UK
Joy Malala and Folashade Adeyemo
China’s Controlled Potential Property Bubble and Its Economic Slowdown: Overview of Causes and Policy Options
René W. H. Linden
The Central Bank of Turkey
Felix I. Lessambo
Epilog
Dimitris N. Chorafas
Malaŵi’s Existing Regulatory Framework of Mobile Money
Sunduzwayo Madise
Taxing Energy: Why, How, and How Much?
Thomas Alexopoulos
Bank Market Power and Monetary Policy Transmission in Africa in the Wake of Information Sharing Institutional Arrangements
Anthony Adu-Asare Idun, Samuel Kwaku Agyei, Sean J. Gossel and Joshua Yindenaba Abor
Problems of Ensuring the Financial Stability of Financial and Credit Institutions in the Digital Economy
Irina Larionova and Dmitry Panov
Managers’ Capital Structure Decisions — the Pecking Order Puzzle
Ted Lindblom, Gert Sandahl and Stefan Sjögren
Some Reflections and Conclusions
Steffen E. Andersen
Liquidity Mismatch, Bank Borrowing Decision and Distress: Empirical Evidence from Italian Credit Co-Operative Banks
Gianfranco Vento, Andrea Pezzotta and Stefano Colli
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