The Banking Crisis Handbook
Editat de Greg N Gregoriouen Limba Engleză Hardback – dec 2009
Shedding new light on the recent worldwide banking debacle, The Banking Crisis Handbook presents possible remedies as to what should have been done prior, during, and after the crisis. With contributions from well-known academics and professionals, the book contains exclusive, new research that will undoubtedly assist bank executives, risk management departments, and other financial professionals to attain a clear picture of the banking crisis and prevent future banking collapses.
The first part of the book explains how the crisis originated. It discusses the role of subprime mortgages, shadow banks, ineffective risk management, poor financial regulations, and hedge funds in causing the collapse of financial systems. The second section examines how the crisis affected the global market as well as individual countries and regions, such as Asia and Greece. In the final part, the book explores short- and long-term solutions, including government intervention, financial regulations, efficient bank default risk approaches, and methods to evaluate credit risk. It also looks at when government intervention in financial markets can be ethically justified.
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Specificații
ISBN-13: 9781439818534
ISBN-10: 1439818533
Pagini: 628
Ilustrații: 86 b/w images, 66 tables and 100-150 equations
Dimensiuni: 156 x 234 x 38 mm
Greutate: 1.32 kg
Ediția:1
Editura: CRC Press
Colecția CRC Press
Locul publicării:United States
ISBN-10: 1439818533
Pagini: 628
Ilustrații: 86 b/w images, 66 tables and 100-150 equations
Dimensiuni: 156 x 234 x 38 mm
Greutate: 1.32 kg
Ediția:1
Editura: CRC Press
Colecția CRC Press
Locul publicării:United States
Public țintă
Researchers and practitioners in finance, economics, econometrics, and financial engineering; risk professionals and financial analysts.Cuprins
Banking Gross Negligence and Shadow Banking System. Global, European, and Emerging Markets’ Perspectives. Preventing Banking Crises, Bank Runs, Regulation, and Bailouts. Index.
Notă biografică
Greg N. Gregoriou is Professor of Finance in the School of Business and Economics at the State University of New York, Plattsburgh.
Recenzii
"This book is a timely and welcome attempt to shed light on a number of aspects of the banking crisis that has precipitated the deepest global recession in recent memory. It would be a valued addition to the libraries of academics and policymakers alike."
—Professor Sumon Bhaumik, Senior Lecturer, Department of Economics and Finance, Brunel University, UK
"The current crisis has got various faces and dimensions. To be well understood, different points of view and perspectives have to be considered simultaneously. That is precisely the content of this book. It offers a broad overview by putting together very relevant contributions of experts from numerous financial institutions and research centers. Such an approach is the best way of avoiding similar mistakes in the future."
—Jean-David Fermanian, Senior Quantitative Researcher, Fixed Income Research Team, BNP Paribas, London, UK
"The banking and financial industry is currently experiencing a major and extremely severe crisis. This timely and unique handbook collects insightful contributions to understand not only the sources of the crisis but also how the landscape will change in the coming years. A must read for every finance practitioner."
—Dr. Jean-François Bacmann, Head of Overlay Strategies, Man Investments
"An invaluable book that will help readers gain a deeper understanding of the global financial crisis. Investors, regulators, and bankers would do well to study it carefully to avoid or protect against future banking crises."
—Arjan Berkelaar, Principal Investment Officer, World Bank Treasury, Washington, D.C., USA
—Professor Sumon Bhaumik, Senior Lecturer, Department of Economics and Finance, Brunel University, UK
"The current crisis has got various faces and dimensions. To be well understood, different points of view and perspectives have to be considered simultaneously. That is precisely the content of this book. It offers a broad overview by putting together very relevant contributions of experts from numerous financial institutions and research centers. Such an approach is the best way of avoiding similar mistakes in the future."
—Jean-David Fermanian, Senior Quantitative Researcher, Fixed Income Research Team, BNP Paribas, London, UK
"The banking and financial industry is currently experiencing a major and extremely severe crisis. This timely and unique handbook collects insightful contributions to understand not only the sources of the crisis but also how the landscape will change in the coming years. A must read for every finance practitioner."
—Dr. Jean-François Bacmann, Head of Overlay Strategies, Man Investments
"An invaluable book that will help readers gain a deeper understanding of the global financial crisis. Investors, regulators, and bankers would do well to study it carefully to avoid or protect against future banking crises."
—Arjan Berkelaar, Principal Investment Officer, World Bank Treasury, Washington, D.C., USA
Descriere
Shedding new light on the recent worldwide banking debacle, this handbook presents possible remedies as to what should have been done prior, during, and after the crisis. With contributions from well-known academics and professionals, the book contains exclusive, new research that will undoubtedly assist bank executives, risk management departments, and other financial professionals to attain a clear picture of the banking crisis and prevent future banking collapses. The text provides a global analysis of the banking crisis by giving insight into how various countries were impacted by the crisis. It also discusses ways to improve bank regulation and risk management.