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  • - Post-Crisis Challenges and Opportunities
     
    2.334,95 kr.

    This volume examines issues concerning the challenges and opportunities for international banks in the rapidly changing global environment. It looks at financial markets and banking, examines the role of banks and lawyers in the global financial crisis, explores post-crisis financial regulation, and highlights determinants of international banking.

  • af Suk-Joong Kim
    1.597,95 kr.

    Volume 22, Fintech, Pandemic, and the Financial System, examines systemic challenges faced by a wide range of financial market participants and the continued disruptions introduced by financial innovations (Fintech).

  • af Yusaf H. Akbar
    2.118,95 kr.

    Post-transition countries are coming of age and are approaching the status of fully-blown developing states. While the main problems highlighted in a classical transition storyline, such as large-scale privatization, institutional formation, and private sector establishment have largely been solved, the recent financial crisis has revealed fresh challenges which demand maximum differentiated attention. Such important contemporary issues as capital markets formation, monetary transmission mechanism, economic integration, financial sector sophistication, remittance management, social welfare reform, and competitive fringes remain to be tackled in a systematic, policy-oriented manner. "e;Neo-Transitional Economics"e; fills this escalating literature gap by presenting a comprehensive collection of viewpoints from the established scholars and practitioners of the field. The ultimate goal of this book is to offer an all-encompassing policy toolkit for a successful overcoming of all contemporary challenges that lie ahead in the age of neo-transitional economics.

  • - New Challenges and Opportunities
     
    1.442,95 kr.

    This edited volume of International Finance Review examines the rising challenges facing emerging financial markets and institutions. It provides significant insight and policy implications on topics including global banking, risk and contagion, stock market behaviour, financial inclusion in the major emerging economies, and more.

  • - Principle, Practice, and Performance
     
    1.564,95 kr.

    In this issue, we have presented issues relevant to the most recent debate on the performance, practices, and principles of the Islamic finance industry as a whole, covering eleven distinct issues.

  •  
    1.925,95 kr.

    This book offers a critical perspective from which to observe evolution of the Euro Area and the European Union in these times of growing economic and political conflict.

  •  
    2.014,95 kr.

    Volume 17 of International Finance Review focusses on a variety of issues relating to the political economy of Chinese finance.

  •  
    2.220,95 kr.

    The adoption of pro-market economic reforms by emerging market economies in last two decades has transformed the institutional context for firms in these economies. The objective of this volume is to better understand how domestic and foreign firms have transformed their strategy, organization and management system in response to this change.

  •  
    2.529,95 kr.

    This edited volume on "Global Banking, Financial Markets and Crises" contains original papers that examine issues concerning the changing role of global banks in crises. The papers in this volume also address the impact of global financial crises on multinational banking, financial markets, and emerging economies.

  •  
    2.219,95 kr.

    For this volume we have collected 12 original research papers dealing with various issues relating to transparency. This topic spans many disciplines beyond accounting and finance, intersecting economics, law and management, embracing sociology and political science, and offering opportunities for creative interdisciplinary research. We hope this v

  •  
    2.015,95 kr.

    Examines various issues concerning the strategies of institutional investors, the role of institutional investors in corporate governance, their impact on local and international capital markets, as well as the emergence of sovereign and other asset management funds and their interactions with micro and macro economic and market environments.

  •  
    778,95 kr.

    This volume contains fourteen articles split across four parts, exploring the debate around the topics of fintech, AI, blockchain, and cryptocurrency. Featuring a cast of global contributors, this is an unmissable volume exploring the most current research on digital innovation in the financial and business worlds.

  •  
    1.922,95 kr.

    Considers effects on capital and goods markets of monetary union in general and European Monetary Union (EMU) in particular. This volume addresses the effects of monetary union, which fall into three categories - adjustments in goods and labor markets, adjustments in money and capital markets, and institutional adjustments.

  • - Independence and Integration Post-Enlargement
     
    1.941,95 kr.

    Talks about the problems associated with financial market development in the European economies and their relationships with the EU in the post-EU enlargement environment. This book focuses on the important implications for fiscal policy, deals with monetary policy and banking, explores issues on financial innovation and liberalization, and more.

  • - Integration, Innovation and Challenges
     
    2.491,95 kr.

    Focuses on the Asia-Pacific financial markets. This title features papers that utilize various methods, including theoretical, empirical and qualitative to highlight a range of issues across the region. It covers the issues of integration, innovation and challenges.

  • - Instruments of Global Financial Stability or Crisis?
     
    2.207,95 kr.

    Contains original papers that examine various issues concerning the role, the structure and functioning of credit, currency and derivatives instruments and markets as they relate to financial crises. This title stresses the importance of the inter-linkages of these instruments and markets in promoting or hindering financial stability or crises.

  •  
    1.863,95 kr.

    Provides information on the role of international finance - and its relationship to strategy, economics, political science and public policy - in examining value creation in multinational enterprise. This book contains papers that present various methodologies, including theoretical, empirical, conceptual, and case study approaches.

  • - Developments in Financial Innovations
     
    1.942,95 kr.

    Presents a collection of 21 original papers on Latin American finance by prominent researchers in and out of the region. This book attempts to bring them together so that the commonality Latin finance can be more easily discerned. While topics are diverse, the papers range from country-specific to comparative and international in perspectives.

  • - Business Systems and Beyond
     
    2.160,95 kr.

    Contains papers examining issues concerning the effects of national and international institutional factors on corporate governance and performance. This volume focuses on the relevance of national business systems alongside industrial and institutional infrastructure to assess the efficacy of corporate governance regimes.

  • - Financial, Structural and International Dimensions
     
    2.274,95 kr.

    Presents a collection of original theoretical, empirical, institutional or policy-oriented articles on various dimensions of the Asian financial crisis. This book includes nineteen articles on the overview of the crisis, international capital flows and crisis, reform in financial and industrial sectors, and cultural and post-crisis opportunities.

  • - Financial, Operational, and Insurance Strategies
     
    2.031,95 kr.

    Contains articles presented at a conference which was held on April 20, 2001 at the Fox School under the auspices of the Institute of Global Management Studies (IGMS) and the Advanta Center for Financial Services Studies, as the Second Annual International Business Forum sponsored by the IGMS.

  • - Corporate Finance and Capital Markets in Changing Japan
     
    1.723,95 kr.

    Japan has always been an "odd man out" from the standpoint of Western norm or Western finance. It is a country that is as developed as any in the West. However, it is also a country that possesses the institutional and cultural traits that separate it from the West. This book contains 21 papers that address various aspects of Japanese finance.