The aim of this book is to bring 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 research in banking and finance. As a consequence the contributions cover a wide range of issues across a broad spectrum, including: bank business models, bank competition and stability, credit card pricing and risk; bank supervision; and international investments. This book was originally published as a special issue of The European Journal of Finance.
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This book provides an in-depth treatment of many of the big issues that currently affect the financial system. It was originally published as a special issue of The European Journal of Finance.
Introduction 1. How bank business models drive interest margins: evidence from US bank-level data 2. Bank competition, fire-sales and financial stability 3. Credit card interest rates and risk: new evidence from US survey data 4. The optimal size of the European Stability Mechanism: a cost–benefit analysis 5. Cross-country differences in personality and the foreign bias in international equity portfolios
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Produktdetaljer
ISBN
9780367029470
Publisert
2019-01-08
Utgiver
Vendor
Routledge
Vekt
263 gr
Høyde
246 mm
Bredde
189 mm
Aldersnivå
UU, UP, 05
Språk
Product language
Engelsk
Format
Product format
Heftet
Antall sider
116