This book investigates small and medium sized enterprises (SMEs)
access to credit, the earning quality, and the cost of debt in the
European Union. It also examines two important risk measures in
financial markets: the volatility index (VIX) and Credit Default
Swaps (CDS). Finally, it deep dives inside one of the most
important emerging markets, China, to assess monetary policy and
the relationship between financial institutions and real estate
firms. This work will appeal to both academics and practitioners in
the areas of SME financing, financial markets and emerging
economies.
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