Buch, Englisch, 21 Seiten, Format (B × H): 153 mm x 216 mm, Gewicht: 456 g
Reihe: Palgrave Macmillan Studies in Banking and Financial Institutions
Financial and Non-Financial Risks, Corporate Governance, and Regulation
Buch, Englisch, 21 Seiten, Format (B × H): 153 mm x 216 mm, Gewicht: 456 g
Reihe: Palgrave Macmillan Studies in Banking and Financial Institutions
ISBN: 978-3-031-96065-9
Verlag: Palgrave Macmillan
This book covers the current and strategic issues in banking and finance with particular reference to financial and non-financial risks, corporate governance, banking and financial regulation, and the loan market. A compilation of the best papers selected by the Scientific Committee and presented at the “Wolpertinger Annual Conference 2024" at the University of Palermo, Italy, the book presents and discusses theoretical and empirical research, policy issues, and contemporary developments in banking, financial intermediation, and other related topics in the broad field of finance. It will be of interest to scholars, professors, and policymakers in banking and financial services.
Zielgruppe
Research
Autoren/Hrsg.
Fachgebiete
- Wirtschaftswissenschaften Finanzsektor & Finanzdienstleistungen Finanzsektor & Finanzdienstleistungen: Allgemeines
- Wirtschaftswissenschaften Betriebswirtschaft Management
- Interdisziplinäres Wissenschaften Wissenschaften: Forschung und Information Risikobewertung, Risikotheorie
- Wirtschaftswissenschaften Betriebswirtschaft Unternehmensorganisation, Corporate Responsibility Unternehmenskultur, Corporate Governance
Weitere Infos & Material
"Chapter 1 Impact of Covid-19 on European REITs: The Role of Property Type, Localization, and Diversification.- Chapter 2 Climate risks in banking: state of the art and future research directions.- Chapter 3 A Note on the Employment Dynamics of Credit Constrained SMEs.- Chapter 4 Managerial Social Capital and Firm Risk: Evidence from the UK.- Chapter 5 Are investors more reactive to simultaneous changes in CEO and Chair positions?.- Chapter 6 The value relevance of banking loans: a comparison between IFRS 9 and IAS 39 on European Banks.- Chapter 7 The Perks of Market Timing in M&A.- Chapter 8 Quid pro quotes: the selective direction of liquidity provision opportunities in the investment grade corporate bond market.- Chapter 9 Regulations, Performance, and Failure: A Comparative Analysis of US and European Banks.- Chapter 10 The impact of the NPLs restructuring programs implemented in the EU after 2008 crisis on bank lending.