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Emerging economies have faced new challenges and opportunities in banking and finance in the post-crisis era under increasing uncertainty. This edited volume of International Finance Review contains original papers that examine rising challenges facing emerging financial markets and institutions. It covers issues such as global banking, risk and contagion, stock market behaviour, global financing for firms, and financial inclusion in the major emerging economies. Particular emphasis on banking is given to the impact of foreign banks on lending by domestic banks, bank loan pricing behaviour with corporate default risk, determinants of nonperforming loans and their macrofinancial implications, foreign bank activities of emerging market entry, international financial shock transmission through the foreign bank lending channel via internal capital markets, and spillover effects of global monetary shocks from an advanced to an emerging economy. Additional emphasis on stock market behaviour and financing is given to emerging stock markets under policy uncertainty from advanced economies, extended multifactor models for emerging stock markets, asymmetric volatility and herd behaviour in geopolitical crises, trade financing as an important cause of the recent trade collapse, determinants of capital structure, and social and financial inclusion in the major emerging markets. This volume also provides significant insight and important policy implications for market participants, researchers, and policy makers in emerging market finance.
One of the most salient features of the 2007-9 global financial crisis was the role played by global banking and multinational banks in transmitting international financial shocks and maintaining credit stability in domestic and international financial markets. This edited volume on "Global Banking, Financial Markets and Crises" contains original papers that examine various issues concerning the changing role of global banks during crisis periods. The papers in this volume also address the impact of global financial crises on multinational banking, domestic and international financial markets, and emerging economies. Particular emphasis is given on the regional experiences of cross-border banking, domestic and global financial market integration, portfolio investment, cross asset market spillovers, cross country crisis contagion, monetary policy transmission mechanism, and the role of foreign banks during crisis periods compared to non-crisis periods in various advanced countries as well as emerging economies. This volume also presents various important policy implications and lessons from recent global financial crises.
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