Palgrave Macmillan Studies in Banking and Financial Institutions
From Palgrave Macmillan
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- The Role of Stakeholder Banks in the European Banking Sector
- Panu Kalmi
- Risk Management Competency Development Indicators: Differing Importance Across Demographics
- Eric H. Y. Koh
- China
- S. Chiarlone and Giovanni Ferri
- The Fed Has Got It Wrong
- Dimitris N. Chorafas
- Main Features of the Italian Financial System
- Valeria Venturelli
- Borrower-Country Economic Structure and the Pricing of Syndicated Loans
- Yener Altunbas, Blaise Gadanecz and Alper Kara
- The International Monetary Fund
- Vincenzo D’Apice and Giovanni Ferri
- The Relationship between Mortgage Credit and Property Prices: The Chinese Case
- Santiago Carbo-Valverde, Francisco Rodriguez-Fernandez and Ming Qi
- The Exchange Industry: An Overview
- Josanco Floreani and Maurizio Polato
- Ethical Understanding in the Banking Sector
- Jes Villa
- The Bank Liquidity Issues During the Subprime Crisis
- Laura Chiaramonte
- The Worst Case Scenario
- Ásgeir Jónsson and Hersir Sigurgeirsson
- The Estimation of Banks’ Cost of Capital through the Capital at Risk Model: An Empirical Investigation across European Banks
- Federico Beltrame, Daniele Previtali and Luca Grassetti
- Basel III, Liquidity Risk and Regulatory Arbitrage
- Viktor Elliot and Ted Lindblom
- Restructuring the Regulator
- Seth Apati
- The Swedish Mortgage Market: Bank Funding, Margins, and Risk Shifting
- Viktor Elliot and Ted Lindblom
- Non—Banking Financial Institutions and Capital Markets
- Fotios Pasiouras
- Regulatory Shortcomings, Supervisory Shortcomings
- Pierluigi Ciocca
- M&As in Banking: Measurement of Some Effects
- Enrico Geretto and Gian Nereo Mazzocco
- History and Growth of Islamic Banking and Finance
- Munawar Iqbal and Philip Molyneux
- Freedom for Manoeuvre: The Norwegian Gold Standard Experience, 1874–1914
- Lars Fredrik Øksendal
- The Shadow Banking System as an Alternative Source of Liquidity
- Valerio Lemma
- BigTech Strategic Approaches: Worrying Competition?
- Alessandra Tanda and Cristiana-Maria Schena
- The Regulatory Framework
- Giuliana Birindelli and Paola Ferretti
- Estimating the Probability of Financial Distress in European Markets: Prediction Models and Empirical Applications
- Andrea Cerri and Gimede Gigante
- How Do Stock Markets Value Bank Diversification? Evidence from the Eurozone
- Shaker Ahmed, Laura Baselga-Pascual and Timothy King
- Capital Controls: No Longer Unorthodox
- Ramkishen Rajan
- FinTech Challenges and Opportunities in a Global Perspective
- Greta Benedetta Ferilli
- Shareholder Value: a Literature Review
- Franco Fiordelisi and Philip Molyneux
- How Much Globalization Is There in the World Stock Markets and Where Is It?
- Gianni Nicolini and Ekaterina Dorodnykh
- Islamic Banking and Finance Movement Worldwide: Performance and Prospects
- Mohammad Mansoor Khan and Muhammad Bhatti
- The Main Features of Microcredit
- Gianfranco Vento
- The Guarantee System in France
- Pasqualina Porretta and Ignace G. Bikoula
- ECB Monetary Policy and the Euro during the Crisis
- Athanasios Vamvakidis
- FinTech and Competition Regulatory Concerns in the EU Banking Business Framework
- Gabriella Gimigliano
- Identification of Business Models
- Rym Ayadi
- Macroeconomic Structure of the European Union
- Özlem Olgu
- The Great Depression of the 1930s
- Vincenzo D’Apice and Giovanni Ferri
- Exit Mechanisms in Banking
- Violaine Cousin
- Banking Supervision and Regulation in the Euro Area: The Case of Portugal
- Mário Coutinho Santos
- Trends in the Banking Industry
- Yener Altunbas, Alper Kara and Özlem Olgu
- Institutional Models, Role of Shareholders (Member and Customers), Governance
- P. Schwizer and V. Stefanelli
- Global Banking and Systemic Risk
- Dimitris N. Chorafas
- The Performance of Intellectual Capital and Banking: some Empirical Evidence from the European Banking System
- Gimede Gigante and Daniele Previati
- The Salient Problem is Rights Without Responsibilities
- Dimitris N. Chorafas
- Value, Capital Structure and Cost of Capital: A Theoretical Framework
- Federico Beltrame and Daniele Previtali
- From Austerity to Prosperity
- Robert L. Carter and Peter Falush
- Aspects, Drivers, and Environment for Extreme Events
- Pascal vander Straeten
- Financial Intermediaries in Investment Services or Activities
- Francesco Guarracino
- A Return to Central Banking
- Pierluigi Ciocca