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Sustainable Finance for SMEs
  • Language: en
  • Pages: 223

Sustainable Finance for SMEs

None

Systemic Risk and Complex Networks in Modern Financial Systems
  • Language: en
  • Pages: 419

Systemic Risk and Complex Networks in Modern Financial Systems

None

Access to Bank Credit and SME Financing
  • Language: en
  • Pages: 352

Access to Bank Credit and SME Financing

  • Type: Book
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  • Published: 2016-12-02
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  • Publisher: Springer

This book explores how the global financial and European sovereign debt crises have forced small-and-medium-sized businesses (SMEs) to reassess and adapt their funding strategies. At the heart of the matter is the worsening access to bank credit for such enterprises. Through this discussion we learn how crucial an understanding of SME-financing is to policy makers, in light of the fact that SMEs dominate the business landscape in Europe and are the main drivers of employment, growth and innovation in the European economy. Contributing chapters present expert analysis and investigate many topics including the problems faced by SMEs in accessing bank credit and the cost of funding and its determinants. Particular attention is also given to how credit-constrained enterprises may reformulate their funding strategies by employing alternative, non-bank, financial resources, and how regulators could support SMEs in broadening and improving their funding opportunities.

The Business of Banking
  • Language: en
  • Pages: 253

The Business of Banking

  • Type: Book
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  • Published: 2017-10-09
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  • Publisher: Springer

This book offers new insights on banking business models, risks and regulation proposals in the aftermath of the European financial crisis. It investigates the main issues affecting the business of banking nowadays, such as low interest rates and non-performing loans. The combined effect of low to negative interest rates and weak economic growth has encouraged banks to shift their business towards new areas less associated with interest rates, which financial markets and institutional investors are currently evaluating. Contributions also shed new light on topics not yet fully investigated by current literature, such as banks’ short selling bans after Brexit, the European Deposit Guarantee Scheme and banks’ risk appetite framework. This book will be of interest to researchers, scholars and practitioners.

Financial Crisis, Bank Behaviour and Credit Crunch
  • Language: en
  • Pages: 198

Financial Crisis, Bank Behaviour and Credit Crunch

  • Type: Book
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  • Published: 2015-07-29
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  • Publisher: Springer

​This book explores some relevant distortions and market failures in financial and banking markets caused by the recent financial crisis and offers important insights to policymakers as well. After having introduced the reader to the economic background behind the origin of the present financial turmoil, the book proposes a distinct angle to look at some macro and microeconomic aspects. The volume discusses whether and to what extent policies, implemented by governments and monetary authorities to countervail bank defaults and avoid a disastrous financial instability, have in some way determined opportunistic conducts (moral hazard), changes in banks’ behaviour, distortive incentives and market failures. Furthermore, the book offers a viewpoint on the effects of the evolution of regulation for the banking sector. Finally, the book assesses how the increase in the cost of funding and the shrinking in credit supply (credit crunch) has modified the financial structure of small and medium firms. To illustrate this, some specific cases at Italian regional level are examined.

Asset Pricing, Real Estate and Public Finance over the Crisis
  • Language: en
  • Pages: 314

Asset Pricing, Real Estate and Public Finance over the Crisis

  • Type: Book
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  • Published: 2013-02-03
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  • Publisher: Springer

The current financial crisis started from the US real estate market and after, though the increase of risk premium requested by investors and due to the lack of liquidity of all financial markets, it became a world financial crisis. A detailed analysis during the crisis focuses attention on asset management, the real estate and public sector.

Stagnation Versus Growth in Europe
  • Language: en
  • Pages: 222

Stagnation Versus Growth in Europe

  • Type: Book
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  • Published: 2016-05-17
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  • Publisher: Springer

This book explores the debate on the policies required to overcome the crises of 2008 and 2011, in which the focus on short-term measures has overshadowed the need to analyze the low growth rate in the European Union, and especially the Eurozone, as the basis for interventions that will counteract the tendency toward stagnation. Factors that lie at the root of the low growth are examined in depth, covering, for example, the impact of the demographic trend toward an aging population in Europe, consequences of inequality for growth, challenges posed by technological change, competition from emerging countries, and difficulties in improving European governance. In addition, potential actions to...

Gazzetta ufficiale del Regno d'Italia
  • Language: it
  • Pages: 2162

Gazzetta ufficiale del Regno d'Italia

  • Type: Book
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  • Published: 1875
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  • Publisher: Unknown

None

Gazzetta ufficiale del regno d'Italia
  • Language: it
  • Pages: 1566

Gazzetta ufficiale del regno d'Italia

  • Type: Book
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  • Published: 1879
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  • Publisher: Unknown

None

Asset Allocation Strategies for Mutual Funds
  • Language: en
  • Pages: 485

Asset Allocation Strategies for Mutual Funds

This book offers an overview of the best-working strategies in the field of equity and fixed income mutual fund-based portfolio management. This timely research considers different market conditions, such as global financial crises, across various geographical regions such as the USA and Europe. Combining academic and practical findings, the author presents a practitioner perspective on mutual fund-based portfolio strategies, appealing not only to finance scholars but also professionals within the asset management industry. This book synthesizes a large part of the academic research to date on the mutual fund industry by drawing from the most widely cited academic journals. The author makes a systematic use of numerical examples to facilitate the understanding of Investment themes organized around several important topics: size, diversification, flows, active management, volatility, performance persistence and rating.