International Banking for a New Century

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A01=Fernando Sotelino
A01=Irene Finel-Honigman
Author_Fernando Sotelino
Author_Irene Finel-Honigman
Bail Out
Banco Ambrosiano
Bankers' Bonuses
Basel Ii
Basel Ii Accord
Basel Iii
Basel Iii Accord
BNP Paribas
Category=GTQ
Category=JP
Category=KCL
Category=KCP
Category=KFFK
Category=KFFL
Category=KFFM
CDIC
Common Equity Tier
cross-border finance
EFSF
emerging market banking
eq_bestseller
eq_business-finance-law
eq_isMigrated=1
eq_isMigrated=2
eq_nobargain
eq_non-fiction
eq_society-politics
European Systemic Risk Board
FDIC
Federal Deposit Insurance Corporation
Federal Reserve
Financial Crisis
financial regulation theory
Gdp Growth
Gdp Ratio
global capital flows
Globalization
Greek Crisis
International Banks
Investment Banking
IRB Approach
Irish Financial Crisis
Market Risk Amendment
Minimum Capital Requirements
Nationalization
post-crisis international banking trends
Private Banking
quantitative risk assessment
Shadow Banking
Sovereign Debt Restructurings
systemic risk analysis
Systemically Important Financial Institutions
Total Banking Industry Assets
USA Patriot Act
Vatican Bank

Product details

  • ISBN 9780415681322
  • Weight: 521g
  • Dimensions: 156 x 234mm
  • Publication Date: 17 Jun 2015
  • Publisher: Taylor & Francis Ltd
  • Publication City/Country: GB
  • Product Form: Hardback
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This new textbook provides an up-to-date overview of international banking as the second decade of the twenty-first century unfolds. Integrating geo-economic, operational, institutional and regulatory changes in the financial sector, the volume’s methodology incorporates specific case studies and research, combining theory with practical examples to illustrate the impact and consequences of past and present financial crises.

The volume considers the core aspects of international banking, including its structural and technical features, historical context, institutional evolution in core markets, and wholesale, retail, investment and private banking. It uses specific examples from past and present literature, post-2008 case studies and histories, and research materials, offering a fully updated overview of how international banks respond to global crises, the origin, efficacy and evolution of financial markets, and the regulatory framework within which they function.

One chapter is devoted to the evolution and potential of new markets, including the financial sectors of the BRICS and other emerging economies. Each chapter examines background, causes, impact and resolution, focusing on specific cases and their broader implications for the sector.

This textbook is a guide to the new, and at times unchartered, landscape to be navigated by large domestic, cross-regional and global banks, and will be invaluable reading for students of finance, business and economics, as well as for those in the financial sector.

Irene Finel-Honigman is Adjunct Professor in banking and European economic history at Columbia University's School of International and Public Affairs (SIPA), USA. Fernando B. Sotelino is Adjunct Professor in banking and finance at Columbia University's School of International and Public Affairs (SIPA), USA.

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