Palgrave Macmillan Studies in Banking and Financial Institutions
From Palgrave Macmillan
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- Keynesian and Heterodox Theories of Financial Crises
- Anastasia Nesvetailova
- Reconsidering the Tobin Tax
- Ramkishen Rajan
- An Era of Transformation in the Banking Industry
- Aisling Tuite
- The Dividend Ratio Model
- Gian Maria Tomat
- FinTech Regulations and Supervision in the United States
- Felix I. Lessambo
- Credit Risk Assessment: The Internal Rating Systems
- Paola Ferretti
- Spatial Dynamics
- J. J. Woo
- Non-performing Loans in the Euro Area
- Francesca Arnaboldi
- Women and Bank Performance: Theoretical Background and Literature Review
- Giuliana Birindelli and Antonia Patrizia Iannuzzi
- Economic Performance of Arabian Countries during the 1990s
- Philip Molyneux and Munawar Iqbal
- Inequality in Landownership, Democracy, and Progressive Taxation: Evidence from Historical Data
- Pantelis Kammas and Maria Poulima
- An Original Equity Requirement Estimation Model
- Luciana Canovi and Valeria Venturelli
- Gross Imbalances, Liquidity Shortage and the Role of the Federal Reserve
- Pierluigi Morelli, Giovanni B. Pittaluga and Elena Seghezza
- Cross-Currency Payments and SWIFT
- Dominique Rambure and Alec Nacamuli
- Assessment of the Theories
- Jill M. Hendrickson
- The European Banking Authority
- Marta Božina Beroš
- Network Governance
- Bernardino Quattrociocchi
- Banking and Exchange Rate Relations between Hong Kong and Mainland China in Historical Perspective: 1965–75
- Catherine Schenk
- Risk and Pricing on the Italian Minibond Market
- Alessandro Giovanni Grasso and Francesco Pattarin
- From Bretton Woods to Financial Globalization
- Vincenzo D’Apice and Giovanni Ferri
- Supervision Purposes in Banking, Finance and Insurance Regulation
- Anna Maria Antonietta Carriero and Domenico Piccolantonio
- Web 2.0 as Platform for the Development of Crowdfunding
- Federico Brunetti
- Tackling Financial Exclusion in the UK
- Santiago Carbo Valverde, Edward P. M. Gardener and Philip Molyneux
- Fallout of Intervention I — Maintaining Financial Stability
- Yomi Makanjuola
- The Role of the Weekend Effect in European REITs
- Gianluca Mattarocci
- Money Supply and Inflation
- Dimitris N. Chorafas
- Role of the State
- Violaine Cousin
- The Effect of Board Diversity and ESG Engagement on Banks’ Profitability and Risk
- Selena Aureli, Paola Brighi, Muddassar Malik and Hannu Schadewitz
- Corporate Social Responsibility, Customer Satisfaction, and Customer Loyalty in Banking Institutions: A Literature Review
- Stratos Kartsonakis and Evangelos Grigoroudis
- Summarizing the Risk Management Competency Development Indicators to Themes
- Eric H. Y. Koh
- Non-performing Loans: A Review of the Literature and the International Experience
- Konstantinos Nikolopoulos and Andreas I. Tsalas
- The Development of Private Pension Schemes and the Pension Reform
- Carlo Gola and Alessandro Roselli
- Internal Rating Systems: A Critical Vision
- Michele Modina
- Banks and Railways: From Boom to Bust
- Gabriel Tortella and José Luis García Ruiz
- Recent Financial Crises
- Vincenzo D’Apice and Giovanni Ferri
- Bank Restructuring and Bank Stability in Latin America
- Ngoc Vo and Jonathan Williams
- Generic Business Model in Spanish Retail Banks
- Kimio Kase and Tanguy Jacopin
- Corporate Governance of Banks and Financial Crisis: Can the Post-crisis Rules Make Banks Safer?
- Gianfranco A. Vento and Pasquale Ganga
- M&As and Equity Risk in the EMU Financial Sector
- Riccardo Ferretti, Francesco Pattarin and Valeria Venturelli
- Why Do Banks Merge?
- Franco Fiordelisi
- The European Reform of the Rules for Banking Crisis Management: The Bank Recovery and Resolution Directive
- Giuseppe Boccuzzi
- Affordable Housing Finance in the US
- Kim Hawtrey
- Recent Innovation in the Regulation of Covered Bonds in Europe: Who Will Benefit from the New Legislative Framework?
- Giusy Chesini and Elisa Giaretta
- Key Design Features of an Explicit DIS
- Djurdjica Ognjenovic
- AML and Cybersecurity in Banking Industry: Challenges
- Felix I. Lessambo
- Bank Competition and Financial Stability in Asia Pacific
- Xiaoqing Maggie Fu, Yongjia Rebecca Lin and Philip Molyneux
- Changes in Board Composition and Compensation in Banking from 1999 to 2008
- Pablo Andrés-Alonso and Eleuterio Vallelado-González
- Sovereign Debt Defaults: Concerns and Lessons
- Ramkishen Rajan
- Bond Allocation After Bank Resolution Cases
- Angela Maddaloni and Giulia Scardozzi
- Diversification, Diversity and Systemic Risk in European Banking
- Pierluigi Morelli, Giovanni B. Pittaluga and Elena Seghezza