Contemporary Issues in Financial Institutions and Markets

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Alternative Asset Classes
Asset Swap
bancassurance efficiency
Bank Holding Companies
bank risk management
Banking
Bond Spreads
Carhart Model
Category=KFF
CDS Market
CDS Premium
CDS Spread
Credit Derivatives
credit derivatives liquidity
Credit Derivatives Market
empirical studies in financial markets
Endogenous Dependent Variable
eq_bestseller
eq_business-finance-law
eq_isMigrated=1
eq_isMigrated=2
eq_nobargain
eq_non-fiction
Financial Deepening
Financial Institutions
Financial Reform
GCC Country
GMM Model
Great TFP.
Guillaumont Jeanneney
Investment Style
Islamic finance performance
Islamic Financial
Islamic Funds
Islamic Mutual Funds
Malmquist TFP Index
mutual fund analysis
Mutual Funds
Negative Relationship
Price Discovery Process
Return Reversals
Securitisation
securitization impact
TFP Index
The European Journal of Finance
VECM Specification
Volatility Ratio

Product details

  • ISBN 9780415645133
  • Weight: 440g
  • Dimensions: 189 x 246mm
  • Publication Date: 08 Feb 2013
  • Publisher: Taylor & Francis Ltd
  • Publication City/Country: GB
  • Product Form: Hardback
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This book brings together academic work on contemporary issues in financial institutions and markets. The general theme is designed to allow for a wide range of topics, covering the diverse nature of academic enquiry in banking and finance. The contributions thus address a broad spectrum of contemporary issues including bank diversification and securitization activities; bank regulatory reforms and competition; the performance of mutual funds and alternative asset classes; role of liquidity in price discovery for credit derivatives; and the existence of the compass rose pattern within option contracts market.

This book was originally published as a special issue of The European Journal of Finance.

John O.S. Wilson is Professor of Banking and Finance, and Director of Research, in the School of Management at the University of St Andrews, UK. Barbara Casu is Reader in Banking, and Director of the Centre for Banking Research, at Cass Business School, City University London, UK.  David G. McMillan is Professor of Finance in the Accounting and Finance Division at Stirling Management School, at the University of Stirling, UK.