Banking and Capital Markets:New International Perspectives
Edited by Lloyd P Blenman,
Harold A Black and
Edward Kane
in World Scientific Books from World Scientific Publishing Co. Pte. Ltd.
Abstract:
This timely collection of papers probes into the major issues that are at the heart of our current financial market crises. The coverage of banking topics include the changing nature of intra and inter-bank markets, bank lending behavior, risk and risk-taking, the role of liquidity, return and maturity transformation issues. Issues on international financial market volatility and spillover effects are analyzed in detail, and intense discussions on capital adequacy and regulation in banking, and the potential role of banks' activities in the triggering of financial crises provide forward-looking insights.
Keywords: Financial Crises; Bank Lending; Corporate Governance; Equity Costs; International Joint Ventures; Value-at-Risk; Cross-Border Acquisitions; Cross-Country Listings; Buyout Activity; Spillover Effects (search for similar items in EconPapers)
Date: 2010
ISBN: 9789814273602
References: Add references at CitEc
Citations:
Downloads: (external link)
https://www.worldscientific.com/worldscibooks/10.1142/7307 (text/html)
Ebook Access is available upon purchase
Chapters in this book:
- Ch 1 VALUE-AT-RISK DISCLOSURES AND THE IMPLICATIONS ON BANK STAKEHOLDERS , pp 3-27

- Jason Ball and Victor Fang
- Ch 2 EX-ANTE VERSUS EX-POST REGULATION OF BANK CAPITAL , pp 29-58

- Arup Daripa and Simone Varotto
- Ch 3 EFFECTS OF INTERNATIONAL INTERBANK LOANS ON TWIN CRISES , pp 59-86

- Erhan Uluceviz and Levent Yildiran
- Ch 4 INTERNATIONAL TRANSMISSION EFFECTS OF VOLATILITY BETWEEN FINANCIAL MARKETS IN THE G-7 SINCE THE INTRODUCTION OF THE EURO , pp 87-128

- Lucía Morales
- Ch 5 COUNTRY-OF-ORIGIN DETERMINANTS OF VALUE CREATION IN INTERNATIONAL JOINT VENTURES: A COMPARISON OF HONG KONG AND U.S. INVESTMENTS IN CHINA , pp 129-153

- Usha R. Mitto, Dennis Chung and Zhou Zhang
- Ch 6 MATURITY TRANSFORMATION STRATEGIES AND INTEREST RATE RISK OF FINANCIAL INSTITUTIONS: EVIDENCE FROM THE GERMAN MARKET , pp 155-182

- Hendrik Scholz, Stephan Simon and Marco Wilkens
- Ch 7 ASYMMETRIES IN THE MARKET PRICE OF RISK: EVIDENCE FROM LATIN AMERICA , pp 183-197

- Gökçe Soydemir, Rahul Verma and Jose Moreno
- Ch 8 CORPORATE GOVERNANCE INSTITUTIONS AS SIGNALING AND COMMITMENT DEVICES , pp 201-221

- Angelo Baglioni
- Ch 9 MANAGING THE COSTS OF ISSUING COMMON EQUITY: THE ROLE OF REGISTRATION CHOICE , pp 223-264

- Jennifer E. Bethel and Laurie Krigman
- Ch 10 THE IMPACT OF ARRANGERS AND BUYOUT SPONSORS ON LOAN PRICING IN LBOs: A CROSS BORDER STUDY , pp 265-297

- Kenneth Daniels and Irwin Morgan
- Ch 11 OWNERSHIP CONTROL AND VALUATION CHANGES FOR EARNING ANNOUNCEMENTS AROUND U.S. CROSS-LISTINGS BY CANADIAN FIRMS , pp 299-323

- Lawrence Kryzanowski and Arturo Rubalcava
- Ch 12 ANALYSIS OF THE INVESTMENT POTENTIAL AND INFLATION-HEDGING ABILITY OF PRECIOUS METALS , pp 325-340

- James R. McCown and John R. Zimmerman
- Ch 13 CORPORATE GOVERNANCE AND OWNERSHIP STRUCTURE IN EMERGING MARKETS: EVIDENCE FROM LATIN AMERICA , pp 341-372

- Diego Cueto
- Ch 14 ASYMMETRIC IMPACT OF NEWS ON STOCK RETURN VOLATILITY , pp 373-409

- Joon-Young Song
Related works:
This item may be available elsewhere in EconPapers: Search for items with the same title.
Export reference: BibTeX
RIS (EndNote, ProCite, RefMan)
HTML/Text
Persistent link: https://EconPapers.repec.org/RePEc:wsi:wsbook:7307
Ordering information: This item can be ordered from
Access Statistics for this book
More books in World Scientific Books from World Scientific Publishing Co. Pte. Ltd.
Bibliographic data for series maintained by Tai Tone Lim ().