000 03867nam a2200397 a 4500
001 2799
003 BD-DhEWU
005 20171126140313.0
008 170530s2015 enka g b 001 0 eng d
010 _a 2015012894
020 _a9781137530936 (hardback)
020 _a1137530936
040 _aDLC
_beng
_cDLC
_erda
_dDLC
_dBD-DhEWU
041 _aeng
050 0 0 _aHG1615
_b.B35154 2015
082 0 0 _a332.10681
_223
_bBAN 2015
245 0 0 _aBank risk, governance and regulation /
_cedited by Elena Beccalli and Federica Poli.
260 _aLondon :
_bPalgrave MacMillan,
_c2015.
300 _axiv, 211 pages ;
_c23 cm.
490 0 _aPalgrave Macmillan studies in banking and financial institutions
504 _aIncludes bibliographical references and index.
505 _tTOC
_a List Of Figures List Of Tables Preface Introduction 1. Credit Quality, Bank Provisioning And Systematic Risk In Banking Business: Josanco Floreani, Maurizio Polato, Andrea Paltrinieri And Flavio Pichler 1.1. Introduction 1.2. Literature Review 1.3. Determinants Of Beta And Hypothesis Development 1.4. Data And Methodology 1.5. Results 1.6. Discussion And Implications 1.7. Conclusions 2. The Estimation Of Banks " " Cost Of Capital Through The Capital At Risk Model: An Empirical Investigation Across European Banks: Federico Beltrame, Daniele Previtali And Luca Grassetti 2.1. Introduction 2.2. The Application Of The Carm To The Banking Industry 2.3. Methodology And Sample 2.4. Results 2.5. Conclusions 3. Moving Towards A Pan European Deposit Guarantee Scheme. How Bank Riskiness Is Relevant In The Scheme?: Giusy Chesini And Elisa Giaretta 3.1. Introduction 3.2. Literature Review On Deposit Insurance And Bank Risk 3.3. The Evolution Of The Regulation Of Deposit Guarantee Schemes In Europe 3.4. The Federal Deposit Insurance Corporation (FDIC) In The USA 3.5. Data And Statistics 3.6. Conclusions 4. Back To The Future: Prospective Bank Risk Management In A Financial Analysis Perspective: Rosa Cocozza 4.1. Introduction 4.2. The Cultural Background 4.3. The Conceptual Framework: EBA Focus And KRI Analysis 4.4. The Market Appraisal 4.5. Conclusions 5. Financial Innovation In Banking: Francesca Arnaboldi And Bruno Rossignoli 5.1. Introduction 5.2. Literature Review 5.3. Data And Methods 5.4. Research Design 5.5. Results 5.6. Additional Tests 5.7. Conclusions 6. Risk And Efficiency In European Banking - Does Corporate Governance Matter?: Magnus Willeson 6.1. Introduction 6.2. Literature Review 6.3. Methodological Approach 6.4. Results 6.5. Conclusions 7. Towards A Macroprudential Policy In The EU: Elisabetta Gualandri And Mario Noera 7.1. Introduction 7.2. Macroprudential Policy At A Glance 7.3. Targets Of MAP 7.4. The MAP Toolkit 7.5. MAP In The EU 7.6. Conclusions 8. Italian Banks Facing Basel 3 Higher Capital Requirements: Which Strategies Are Actually Feasible?: Franco Tutino, Giorgio Carlo Brugnoni And Maria Giovanna Siena 8.1. Introduction 8.2. Literature Review 8.3. Sample And Data 8.4. Methodology 8.5. Analysis Of The Possible Strategic Solutions 8.6. Considerations On The Actual Intervention Margins 8.7. Conclusions
520 _aThis book presents research from leading researchers in the European banking field to explore three key areas of banking.
526 _aEconomics
590 _aSagar Shahanawaz
650 0 _aBanks and banking
_xRisk management.
_920884
650 0 _aBanks and banking
_xState supervision.
_920885
650 0 _aBanking law.
_920886
650 0 _aFinancial risk management.
_920887
700 1 _aBeccalli, Elena.
_920888
700 1 _aPoli, Federica.
_920889
856 4 2 _3WorldCat details
_uhttp://www.worldcat.org/title/bank-risk-governance-and-regulation/oclc/923451085&referer=brief_results
856 4 2 _3Ebook Fulltext
_uhttp://lib.ewubd.edu/ebook/2799
942 _2ddc
_cTEXT
999 _c2799
_d2799
999 _c2799
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