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Risk management post financial crisis : a period of monetary easing /

This volume provides further insights to post-crisis developments in the global economic and financial environment. It includes papers from leading authors from central banks, world-renowned universities and international organizations. Topics and issues addressed include: an overview of advances in...

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Detalles Bibliográficos
Clasificación:Libro Electrónico
Otros Autores: Batten, Jonathan (Editor ), Wagner, Niklas F., 1969- (Editor )
Formato: Electrónico eBook
Idioma:Inglés
Publicado: Bingley : Emerald, 2014.
Edición:First edition.
Colección:Contemporary studies in economic and financial analysis ; v. 96.
Temas:
Acceso en línea:Texto completo
Texto completo

MARC

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245 0 0 |a Risk management post financial crisis :  |b a period of monetary easing /  |c edited by Jonathan A. Batten, Niklas F. Wagner. 
250 |a First edition. 
264 1 |a Bingley :  |b Emerald,  |c 2014. 
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490 1 |a Contemporary studies in economic and financial analysis,  |x 1569-3759 ;  |v volume 96 
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504 |a Includes bibliographical references and index. 
520 |a This volume provides further insights to post-crisis developments in the global economic and financial environment. It includes papers from leading authors from central banks, world-renowned universities and international organizations. Topics and issues addressed 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 procyclical 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. --  |c Edited summary from book. 
505 0 |a 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. 
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650 0 |a Quantitative easing (Monetary policy) 
650 0 |a Financial risk management. 
650 0 |a Global Financial Crisis, 2008-2009. 
650 6 |a Assouplissement quantitatif (Politique monétaire) 
650 6 |a Finances  |x Gestion du risque. 
650 6 |a Crise financière mondiale, 2008-2009. 
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700 1 |a Batten, Jonathan,  |e editor. 
700 1 |a Wagner, Niklas F.,  |d 1969-  |e editor. 
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830 0 |a Contemporary studies in economic and financial analysis ;  |v v. 96.  |x 1569-3759 
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