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A01=Anna Matysek-Jedrych
A01=Pawel Niedziolka
A01=Renata Karkowska
A01=Zbigniew Korzeb
Applying International Financial Reporting Standards
Author_Anna Matysek-Jedrych
Author_Pawel Niedziolka
Author_Renata Karkowska
Author_Zbigniew Korzeb
Bank Liquidations
Bank Profitability
Banking
Banking Crises
Banking Sector
banks' business model
Basel III
Category=KCBM
Category=KCP
Category=KFFK
Category=KFFL
Category=KJC
Climate Risk
commercial banking operations
COVID-19
credit
Credit Holidays
credit risk assessment
Cva
ECB
ECB's Action
ECB’s Action
eq_bestseller
eq_business-finance-law
eq_isMigrated=1
eq_isMigrated=2
eq_nobargain
eq_non-fiction
ESG Risk
EU ETS
European Banking Sector
European financial regulation
financial sector resilience
IFRS
macroprudential policy
MERS
MERS Case
NBP
Noninterest Income
Pandemic Crisis
PLN
post-pandemic banking challenges
Select EU Country
SIFIs
Spanish Flu
Sure
systemic risk analysis

Product details

  • ISBN 9781032397429
  • Weight: 420g
  • Dimensions: 156 x 234mm
  • Publication Date: 13 Apr 2023
  • Publisher: Taylor & Francis Ltd
  • Publication City/Country: GB
  • Product Form: Hardback
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European economies have been plagued by successive crises, from the Global Financial Crisis (GFC) to the COVID-19 pandemic, through to the economic and geopolitical instability in Ukraine. These events, the uncertainty they generate combined with dynamic technological progress and significant sociocultural changes, have profoundly modified the character of modern finance. Understanding what happened, what mechanisms worked, and the reaction of the banking sector, bank customers, and policymakers require an in-depth and structured analysis.

This book critically assesses the impact of these events, notably the COVID-19 pandemic, on the performance of the banking sector in Europe and serves as a compendium of knowledge on recent changes in European banking from two perspectives: firstly, European banking transformation, analyzing the process of what has already taken place, in particular, the GFC and COVID-19 crises; secondly, the challenges facing the operations and strategic management of European banks. It identifies specific areas of impact on the activity of commercial banks and the determining factors that will shape the economic and financial condition of banks and their customers – borrowers – in the future. Risk management, particularly credit risk, is a key focus of this volume. Each chapter, implicitly or explicitly, address a variety of questions that can help the reader to understand the complex nature of the transformation of the banking sector.

The book provides a structured reference for those concerned with the impact of volatility on the business models of modern banks. As such, it will find a broad audience among students, academics, banking, financial, business, and industry professionals, policymakers, and market regulators.

Renata Karkowska, Ph.D., is an Associate Professor at the University of Warsaw, Faculty of Management

Zbigniew Korzeb, Ph.D., is an Associate Professor at the Bialystok University of Technology, Faculty of Engineering Management

Anna Matysek-Jędrych, Ph.D., is a Professor at the Poznań University of Economics and Business, Institute of International Business and Economics

Paweł Niedziółka Ph.D., is an Associate Professor at the SGH Warsaw School of Economics, Collegium of Socio-Economics

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