Skip to main content

Shopping Cart

You're getting the VIP treatment!

Item(s) unavailable for purchase
Please review your cart. You can remove the unavailable item(s) now or we'll automatically remove it at Checkout.
itemsitem
itemsitem

Recommended For You

Loading...
  • Securitization: Past, Present and Future

    Series series Economics and Finance (R0)
    This book aims to explore if and how securitization changed financial intermediation and lending behaviour by reviewing the pre- and post-financial crisis theoretical and empirical literature. The book’s distinctive feature is bringing the growing post-crisis empirical evidence to the attention of a wider audience by critically appraising it against pre-crisis arguments. With its thought-provoking ... Read more

    $134.09 USD

People who read this also enjoyed

  • Dynamic Risk Assessment

    The Practical Guide to Making Risk-Based Decisions with the 3-Level Risk Management Model

    Dynamic Risk Assessment is the key tool to support a holistic risk management framework. This book aims to help employers, managers and staff alike to understand how they can effectively integrate dynamic risk assessment into business management processes and systems to improve safety.With tips, examples and solutions throughout, this multi-disciplinary text delivers an effective and comprehensive ... Read more

    $72.99 USD

  • Strategy, Value and Risk

    A Guide to Advanced Financial Management

    by J. Rogers ...
    Series series Economics and Finance (R0)
    Updated and revised, the third edition frames strategy as delivering firm value in both the short and long term while maintaining a sustainable competitive advantage. These issues are examined through industry evolution, the rise of the information economy, financial analysis, corporate and quantitative finance, and risk management concepts. ... Read more

    $49.99 USD

  • Risk Management in Public Administration

    Edited by Konrad Raczkowski ...
    Series series Economics and Finance (R0)
    This book draws on financial, economic, and management theory in its exploration of the theory underlying risk and risk management at both micro- and macroeconomic levels. It has a particular reference to the public financial sector. Chapters investigate the elimination of currency risk in the Transatlantic Trade and Investment Partnership (TTIP), as well as the changes that credit ratings undergo ... Read more

    $89.09 USD

  • Sovereign Debt and Rating Agency Bias

    Series series Economics and Finance (R0)
    Sovereign Debt and Credit Rating Bias rejects the notion that credit rating agencies' rigorous and transparent determination of ratings leaves no room for bias, and debunks the myth that the value CRAs place on their reputational capital precludes prolonged biases. To determine the extent of CRAs' biased actions, Tennant and Tracey apply a rigorous methodology to a well-established economic model ... Read more

    $49.49 USD

  • The Greek Debt Crisis

    In Quest of Growth in Times of Austerity

    Series series Economics and Finance (R0)
    This book sheds new light on the Greek economic challenges and helps readers understand the current debt crisis. Chapters from leading experts in the field identify and outline potential solutions to the on-going decline of the Greek economy by considering both Eurozone-adopted current policy framework explanations and potential alternative explanations. In contrast to the standard chronological ... Read more

    $89.09 USD

  • Macroprudential Regulation and Policy for the Islamic Financial Industry

    Theory and Applications

    Series series Economics and Finance (R0)
    This volume aims to discuss the current research, theory, methodology and applications of macropreudential regulation and policy for the Islamic financial industry. Published in cooperation with the Islamic Research and Training Institute (IRTI), this book features contributions from a workshop presented in collaboration with the University College of Bahrain (UCB) in Manama, Bahrain, aimed to ... Read more

    $89.09 USD

  • Sovereign Risk and Public-Private Partnership During the Euro Crisis

    Series series Economics and Finance (R0)
    This book is an examination of the sovereign risk and debt limit issues facing the Eurozone (crisis/post crisis) and the need for alternative mechanisms to fund the capital investment requirements of the region. ... Read more

    $89.09 USD

  • Corporate Governance and Financial Management

    Computational Optimisation Modelling and Accounting Perspectives

    Series series Economics and Finance (R0)
    This book integrates corporate governance, corporate finance and accounting to formulate sound financial management strategies. It offers practical steps for managers using an integrated optimisation financial model to achieve good corporate governance practices which lead to lower risks and higher firm value. ... Read more

    $89.09 USD

  • Financial Structures and Regulation: A Comparison of Crises in the UK, USA and Italy

    by A. Roselli ...
    Series series Economics and Finance (R0)
    A survey of past financial crises, starting with the great banking collapses of the interwar period. The current turmoil has prompted a number of questions regarding both its origins and ways to avoid its repetition. The historical background and the evolving institutional framework of banking and financial systems are at the center of this book. ... Read more

    $89.09 USD

  • Reconstructing the World Economy

    This volume presents papers from a conference organized by the Korea Development Institute and the IMF. The purpose of this high-level conference was for policymakers and academics from the Asian region and from G-20 countries to discuss forward-looking economic and financial issues of interest to the international community, such as restoring normalcy to fiscal policy, macroprudential regulation, ... Read more

    $11.59 USD

  • Non-Performing Loans and Resolving Private Sector Insolvency

    Experiences from the EU Periphery and the Case of Greece

    Series series Economics and Finance (R0)
    This book explores the issue of private sector over-indebtedness following the recent financial crisis. It addresses the various challenges for policymakers, investors and economic agents affected by applied remedial policies as the private non-financial sector in Europe continues to face increased challenges in servicing its debt, with the problem mainly concentrated in several countries in the ... Read more

    $143.09 USD