Financial Performance Analysis of Real and Banking Sectors in Europe
1. Auflage 2021,
236 Seiten, Gebunden, Book, Format (B × H): 155 mm x 235 mm
Reihe: Contributions to Economics
Verlag: Springer, Berlin
Polychronidou / Karanovic / Karasavvoglou The Changing Financial LandscapeThis book offers new insights and perspectives on the financial and banking sector in Europe with a special focus on Central and Southeastern European countries. Through quantitative and qualitative analysis of primary sources and datasets, the book examines both the financial development and performance of the real sector of the economy and the impact and involvement of the banking sector.
The contributions offer new insights into current financial innovations and discuss best practices in innovative financial solutions. They also highlight new perspectives in finance and analyze characteristic problems in the real and banking sectors in various European countries. The insights and financial solutions presented in this book will be of interest to scholars of finance and financial economics as well as practitioners in the financial industry and policy makers.
Weitere Infos & Material
Part 1: Financial development and performance of the real sector. Chapter 1: Female Members in Corporate Board of Directors and Financial Performance.- Chapter 2: The Different Impact of Financial Constraints on Firm-level Exports in Manufacturing and Service Sector: Evidence From Croatia.- Chapter 3: Financial Industry and Oil Price Volatility: on Analysis and Central and Eastern Europe.- Chapter 4: The Effect of Initial Public Offerings on Financial Ratios - The Case of NEWCONNECT.- Chapter 5: Comparative Analysis of the Financial Performance of Tourism Companies Located in Central and Eastern Europe.- Chapter 6: Exemplification of the Implementation of Selected Actions Towards Employees Related to the Concept of Corporate Social Responsibility (CSR).- Part 2: Chapter 7: Regional efficiency in European Union banking industry - traditional and DEA approach.- Chapter 8: Do Capital Buffers add to Bank Risk-Taking in South-Eastern Europe? A Look at the Pre-Basel III Period.- Chapter 9: Enterprise Risk Management: What Opportunities for the Banking Sector?.- Chapter 10: Determinants of Bank Profitability in UK on the Eve of the Brexit.