Bank Stability, Sovereign Debt and Derivatives
Bank Stability, Sovereign Debt and Derivatives
brings together the latest
research on banking, financial markets, and the recent financial crisis. Written by a
group of leading scholars, it offers both empirical and theoretical perspectives on topics
such as cooperative banking; the role of trade credit and the cost of capital; the
management of foreign exchange exposures; risk governance and management control; private
equity investment; credit guarantee institutions, performance and risk analysis; credit
supply and the rise in sovereign debt risk in the Eurozone. It also examines the
relationship between bank business models and financial stability using evidence from the
financial crisis in OECD countries and develops a new risk adjusted performance approach
for measuring securities exchanges' value. The book provides state-of-the-art scholarly
research on bank stability, sovereign debt and derivatives and is essential reading for
scholars, researchers, graduate students and consulting firms interested in banking and
financial markets.
1. On the Relationship between Bank Business Models and Financial Stability: Evidence
from the Financial Crisis in OECD Countries; Laura Chiaramonte, Federica Poli and Marco
Oriani
2. Cooperative Banking in Poland: A Post-Crisis Record of Stability and Efficiency; Ewa
Miklaszewska and Krzysztof Kil
3. Credit Development, Quality Deterioration and Intermediation Model: Does Bank Size
Matter?: Evidence from Italy during the Recent Financial Crisis; Franco Tutino, Concetta
Colasimone and Giorgio Carlo Brugnoni
4. Credit Supply and the Rise in Sovereign Debt Risk in the Eurozone; Pierluigi
Morelli, Giovanni B. Pittaluga and Elena Seghezza
5. Credit Guarantee Institutions, Performance and Risk Analysis: An Experimental
Scoring; Paola Leone, Ida C. Panetta and Pasqualina Porretta
6. The Role of Trade Credit and the Cost of Capital; Ted Lindblom and Gert Sandahl
7. Accounting for the Level of Success of Firms in Achieving their Objectives for Using
Derivatives; Frank Bezzina, Simon Grima and Joseph Falzon
8. The Management of Foreign Exchange Exposures; Goran Bergendahl and Stefan Sjogren
9. Risk Management and Governance in Dutch Pension Funds; Leo Van Eerden
10. A New Risk Adjusted Performance Approach for Measuring Securities Exchanges' Value;
Maurizio Polato and Josanco Floreani
11. Does Private Equity Investment Positively Impact on Firm Profitability and on the
Growth of the Target Company?; Giusy Chesini and Elisa Giaretta
328 pages, Hardcover