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Palgrave Macmillan Studies in Banking and Financial Institutions

From Palgrave Macmillan
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Electronic Money Use: Evidence from Survey Data
David Pelilli
A Complementary and Competitive Monetary System for the Future?
Carl Adams and Simon Mouatt
A VAR Approach to the Analysis of the Relationship between Oil Prices and Industry Equity Returns
Joseph Falzon and Daniel Castillo
Bank Transaction Taxes: International Evidence and Potential Implications for Greece
Hiona Balfoussia, Dimitrios Malliaropulos, Dimitris Papageorgiou and Athanasios Tagkalakis
Sustainability Trend in Russian Banking Sector
Amin Babazade
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
Is There a Remedy for the Problems of Bank Supervision?
Dimitris N. Chorafas
Single European Payment Area: Opportunities for Consumers and Corporates
Lucia Leonelli
Risk Governance in Pension Funds: Management Control in Dutch Pension Funds
Leo A. Eerden
Decentralised Blockchained and Centralised Real-Time Payment Ledgers: Development Trends and Basic Requirements
Harry Leinonen
Epilog
Dimitris N. Chorafas
Short Selling: The Bears of the Market
Daniele D’Alvia
Start-Ups Beyond the Crisis: A Survival Analysis
Giulia Baschieri, Giorgio S. Bertinetti and Gloria Gardenal
The Multilateral Trading System: Special and Differential Treatment for Developing Countries in the WTO
Carlos Perez Castillo
Conclusions and Outlook
Otto Hieronymi and Constantine A. Stephanou
Drivers of Shareholder Value Creation in M&A: Event Study of the European Banking Sector in the Post-financial Crisis Era
Gimede Gigante, Mario Baldacchini and Andrea Cerri
Resolution of BBFCs
Marcelo J. Sheppard Gelsi
How Central Are Women in Central Banks?
Giuliana Birindelli and Antonia Patrizia Iannuzzi
What Determines Interest Margins? The Case of Chinese Banks
Ming Qi and Jiawei Zhang
A Framework for Stress Testing Banks’ Credit Risk
Jim Wong, Ka-Fai Choi and Tom Fong
What Is the Point of Central Banks’ Interventions?
Dimitris N. Chorafas
Value Creation Drivers in European Banks: Does the Capital Structure Matter?
Josanco Floreani, Maurizio Polato, Andrea Paltrinieri and Flavio Pichler
Risk-Taking of the European Banks in CEECs: The Role of National Culture and Stake Vs Shareholder View
Federica Sist and Panu Kalmi
Value Creation of Internationalization Strategies of Italian Medium-Sized Listed Firms
Ottorino Morresi and Alberto Pezzi
Good News, Bad News: A Proposal to Measure Banks’ Reputation using Twitter
Vincenzo Farina, Giampaolo Gabbi and Daniele Previati
Concluding Remarks
Vittorio Boscia, Alessandro Carretta and Paola Schwizer
Open Banking in the UK: A Co-opetition Scenario for Innovation and Evolution in the UK Retail Banking Sector
Nikita Divissenko
The Guarantee System in Chile
Gianfranco A. Vento and Antonio La Colla
Central Bank of Mexico
Felix I. Lessambo
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
The Business of Clearing Cash Equities in Europe: Market Dynamics and Trends
Giusy Chesini
Does Board Composition Affect Strategic Frames of Banks?
Alessandro Carretta, Vincenzo Farina and Paola Schwizer
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
Readiness of Deposit Guarantee Schemes to Participate in Resolution
Jakub Kerlin
Dealing with Monetary Pollution
Ásgeir Jónsson and Hersir Sigurgeirsson
Implications of Volatility for Uncovered Interest Parity Testing
Alexandra Horobet, Sorin Dumitrescu and Dan Gabriel Dumitrescu
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
Co-operative Banking in Germany
Federica Poli
Commissione di Vigilanza sui fondi Pensione (Covip)
Raffaele Capuano
Epilogue
Ruth Wandhöfer
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
A New Risk-Adjusted Performance Approach for Measuring the Value of Securities Exchanges
Maurizio Polato and Josanco Floreani
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
Cost Efficiency and Returns to Scale in GCC Banking
Abderazak Bakhouche
The Saudi Arabia Monetary Authority
Felix I. Lessambo
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