Financial Institutions in the Global Financial Crisis: The Role of Financial Derivatives, Bank Capital, and Clearing and Custody Services
Autor Shaofang Lien Limba Engleză Hardback – 30 ian 2018
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Specificații
ISBN-13: 9789811074394
ISBN-10: 9811074399
Pagini: 235
Ilustrații: XI, 246 p. 13 illus. in color.
Dimensiuni: 155 x 235 mm
Greutate: 0.54 kg
Ediția:1st ed. 2018
Editura: Springer Nature Singapore
Colecția Springer
Locul publicării:Singapore, Singapore
ISBN-10: 9811074399
Pagini: 235
Ilustrații: XI, 246 p. 13 illus. in color.
Dimensiuni: 155 x 235 mm
Greutate: 0.54 kg
Ediția:1st ed. 2018
Editura: Springer Nature Singapore
Colecția Springer
Locul publicării:Singapore, Singapore
Cuprins
Chapter 1 Introduction.- Chapter 2 The use of financial derivatives and risks of U.S. bank holding companies.- Chapter 3 Quality of bank capital and bank lending behavior during the global financial crisis.- Chapter 4 Competition in the clearing and settlement industry.- Chapter 5 General discussion and conclusion.
Notă biografică
Shaofang Li has been assistant professor at the Southeast University School of Economics and Management and since March 2015. She received her doctorate from the University of Ljubljana, Slovenia. Dr. Li’s main areas of research interest are financial derivatives, risk management, cost of capital, the clearing and custody industry, and financial crises. Her work has been published in the Journal of International Financial Markets, Institutions & Money, and the International Review of Financial Analysis.
Textul de pe ultima copertă
This book examines the role of financial institutions in the financial markets during normal times, as well as during the global financial crisis. Chapter 1 offers a brief introduction to the research topics in the book, while Chapter 2 discusses the impact of financial derivatives on risk exposures of BHCs. Chapter 3 then investigates whether and how different types of bank capital affect bank lending and whether this relation changes in times of the global financial crisis. Chapter 4 adds to the scant information on competitive landscape in the clearing and settlement industry. Lastly, Chapter 5 provides a summary and discussion of the findings and presented.
Caracteristici
Offers the first analysis of the different holding purposes of financial derivatives and their impact on the BHCs’ systematic risk exposures (in the case of interest rate derivatives, exchange rate derivatives, and credit derivatives) Distinguishes between tier 1 and tier 2 capital as bank funding sources The first comprehensive study on the competition in the clearing and settlement industry using the PR model, Lerner index, and Boone indicator