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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
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