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  • 1
    UID:
    almahu_9949068924502882
    Format: 1 online resource (442 p.)
    ISBN: 9781784410261 (electronic bk.) :
    Series Statement: Contemporary studies in economic and financial analysis, v. 96
    Content: Volume 96 of Contemporary studies in economic and financial analysis provides further insights to post-crisis developments in the global economic and financial environment. Risk management post financial crisis : a period of monetary easing includes papers from leading authors from central banks, world-renowned universities and international organisations. Topics and issues addressed by this volume include: an overview of advances in risk management in the post financial crisis environment, the impact that complexity present in financial returns now plays in measuring reporting and risk, the role that sentiment and herding plays in distorting prices in financial markets, the pro-cyclical impact of Basel III including effects on capital requirements and bank balance sheets, central bank monetary policies and bank liquidity in a world without quantitative easing, credit risk assessment and bank lending, and changes in the structure of international financial markets, including the rise and impact of financial markets in China and those financial products denominated in RMB.
    Note: Includes index. , Introduction to risk management post financial crisis : a period of monetary easing / Jonathan A. Batten, Niklas F. Wagner -- Complexity analysis and risk management in finance / Charilaos Mertzanis -- The effects of macroeconomic news announcements during the global financial crisis / Pilar Abad, Helena Chuliá -- The pro-cyclical impact of Basel III regulatory capital on bank capital risk / Guoxiang Song -- Nonparametric expectile regression for conditional autoregressive expected shortfall estimation / Marcelo Brutti Righi, Yi Yang, Paulo Sergio Ceretta -- The impact of external shocks on stock prices in the East Asian domestic banking sector / Masahiro Inoguchi -- Measuring financial integration : evidence from ten industries in a "US-emerging world" / Michael Donadelli -- Will quantitative easing enhance or drain the availability of funds to financial markets? / Yasushi Suzuki -- Money demand causality for ten Asian countries : evidence from linear and nonlinear causality tests / Ahdi Noomen Ajmi, Nicholas Apergis -- Product market competition and inflation persistence / Amr Sadek Hosny -- Unlocking credit / Ike Mathur, Isaac Marcelin -- Monetary policy and bank liquidity in China / Nan Shi, Xin Sun, Fan Zhang -- Monetary policy and bank credit risk in Vietnam pre and post global financial crisis / Xuan Vinh Vo, Phuc Canh Nguyen -- Analysis of factors influencing and controlling excess cash and short-term bank loans in Taiwan / Ma-Ju Wang, Yi-Ting Chang -- Bank competition, managerial efficiency and the interest rate pass-through in India / Jugnu Ansari, Ashima Goyal -- Financial architecture and monetary policy transmission mechanism in Kenya / Roseline Nyakerario Misati, Alfred Shem Ouma, Kethi Ngoka-Kisinguh -- The dim sum bond market in Hong Kong / Ike Mathur, Soumen De -- Sentiment and beta herding in the Borsa Istanbul (BIST) / Nazmi Demir, Syed F. Mahmud, M.Nihat Solakoglu -- Testing for rational speculative bubbles in the Brazilian residential real-estate market / Marcelo M. de Oliveira, Alexandre C.L. Almeida -- Challenges in the application of extreme value theory in emerging markets : a case study of Pakistan / Jamshed Y. Uppal, Syeda Rabab Mudakkar.
    Additional Edition: ISBN 9781784410278
    Language: English
    URL: Volltext  (URL des Erstveröffentlichers)
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  • 2
    UID:
    gbv_1655694294
    Format: 1 online resource (442 p.)
    ISBN: 9781784410261
    Series Statement: Contemporary studies in economic and financial analysis v. 96
    Content: Volume 96 of Contemporary studies in economic and financial analysis provides further insights to post-crisis developments in the global economic and financial environment. Risk management post financial crisis : a period of monetary easing includes papers from leading authors from central banks, world-renowned universities and international organisations. Topics and issues addressed by this volume include: an overview of advances in risk management in the post financial crisis environment, the impact that complexity present in financial returns now plays in measuring reporting and risk, the role that sentiment and herding plays in distorting prices in financial markets, the pro-cyclical impact of Basel III including effects on capital requirements and bank balance sheets, central bank monetary policies and bank liquidity in a world without quantitative easing, credit risk assessment and bank lending, and changes in the structure of international financial markets, including the rise and impact of financial markets in China and those financial products denominated in RMB.
    Additional Edition: ISBN 9781784410278
    Additional Edition: Erscheint auch als Druck-Ausgabe ISBN 9781784410278
    Language: English
    Author information: Wagner, Niklas F. 1969-
    Library Location Call Number Volume/Issue/Year Availability
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  • 3
    Online Resource
    Online Resource
    Bradford : Emerald Group Publishing Limited
    UID:
    gbv_804348898
    Format: Online-Ressource (XII, 442 p) , graph. Darst.
    Edition: 1. ed.
    ISBN: 9781784410261
    Series Statement: Contemporary studies in economic and financial analysis v. 96
    Content: Risk Management Post Financial Crisis: A Period of Monetary Easing provides further insights into post-crisis developments in the global economic and financial environment including advances in measuring and reporting risk and liquidity. Contributions come from leading banks, international organisations and world-renowned universities
    Note: Description based upon print version of record , Enth. 20 Beitr , Cover; Risk Management Post Financial Crisis: A Period of Monetary Easing; Copyright page; Contents; List of Contributors; Part I: A Perspective on the Financial Crisis and Global Risk Management; Introduction to Risk Management Post Financial Crisis: A Period of Monetary Easing; Part I: A Perspective on the Financial Crisis and Global Risk Management; Part II: Risk and Integration in a Post-Crisis Setting; Part III: Monetary Policy and Credit in a Post-Crisis Setting; Part IV: Country Studies on Monetary Policy, Credit and Financial Intermediaries; Part V: Country Studies on Markets and Risk , NotesReferences; Complexity Analysis and Risk Management in Finance; Introduction; Complexity in Finance; Complex Financial Instruments; Complex Financial Processes; Complex Financial Systems; Complexity and Risk; Managing Complex Financial Instruments; Managing Complex Financial Processes; Managing Complex Financial Systems; Network Topology; Endogenous Risk; Conclusions; Notes; References; The Effects of Macroeconomic News Announcements during the Global Financial Crisis; Introduction; Data; Bond Data; Announcement Data; Methodology; Empirical Results; Conclusions; Notes; Acknowledgment , ReferencesPart II: Risk and Integration in a Post-Crisis Setting; The Pro-Cyclical Impact of Basel III Regulatory Capital on Bank Capital Risk; Introduction; The Model; The Effect of the Accounting Gains or Losses on the Leverage Ratio; The Effect of the Accounting Gains or Losses on the Tier 1 Capital Ratio; The Pro-Cyclicality and Interest Rate Sensitivity of Basel III Regulatory Capital Ratios; The Pro-Cyclicality of the Leverage Ratio and the Tier 1 Capital Ratio; Sources of the Pro-Cyclicality; Interest Rate Sensitivity; Implications for Bank Capital Risk Management , Pro-Cyclicality of Basel III Regulatory Capital Ratios and Bank Capital RiskInterest Rate Sensitivity of Basel III Regulatory Capital Ratios and Bank Capital Risk; Conclusions; Notes; Acknowledgment; References; Nonparametric Expectile Regression for Conditional Autoregressive Expected Shortfall Estimation; Introduction; Proposed ES Estimation Procedure; Empirical Properties of the Proposed Procedure; Simulated Data; Real Market Data; Conclusion; Notes; References; The Impact of External Shocks on Stock Prices in the East Asian Domestic Banking Sector; Introduction , Banking Sector Reforms and Bank Balance SheetsBanking Sector Reforms after 1997; Foreign Assets and Liabilities of the Banking Sector; An Overview of Domestic Bank Stock Prices and Stock Market Indices; Regression Analysis; Data and Terms; Methodology; Regression Results; Results in the 2000s before the GFC; Results in the 1990s before the Asian Crisis; Results in the 2000s during the GFC; Conclusion; Notes; Acknowledgments; References; Measuring Financial Integration: Evidence from Ten Industries in a "US-Emerging World"; Introduction; Data Description and Summary Statistics , Industry Equity Indices , Systemvoraussetzungen: Acrobat Reader.
    Additional Edition: ISBN 9781784410278
    Additional Edition: Druckausg. Risk manangement post financial crisis Bingley [u.a.] : Emerald, 2014 ISBN 9781784410278
    Language: English
    Keywords: Electronic books
    URL: Volltext  (lizenzpflichtig)
    Author information: Wagner, Niklas F. 1969-
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  • 4
    UID:
    almahu_9948320775202882
    Format: 1 online resource (455 pages) : , illustrations.
    Edition: First edition.
    ISBN: 9781784410261 (e-book)
    Series Statement: Contemporary Studies in Economic and Financial Analysis, Volume 96
    Additional Edition: Print version: Risk management post financial crisis : a period of monetary easing. Bingley, England : Emerald, c2014 ISSN 1569-3759 ISBN 9781784410278
    Language: English
    Keywords: Electronic books.
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