The contents of the book are CHAPTER 1 REGULATION AND BANKS' BEHAVIOUR TOWARDS RISK: AN OVERVIEW CHAPTER 2 MODELLING REGULATION OF BANKS CHAPTER 3 MODELS WITHOUT QUANTITY CONSTRAINTS CHAPTER 4 …
New banking and investment business models to navigate the post-financial crisis environment The financial crisis of 2007-2008 has discredited business models in the banking and fund management ind…
This volume comprises of papers presented at a conference on Japanese commercial law held at University College, London, in September 1987. A distinguished panel of contributors from both London an…
Explores the changes that have taken place in the banking industries of Japan, USA and Europe during the past decade. It analyzes the constraints within which banks work and proposes a new theory l…
Redefining Financial Services explores the fundamental redefinition of the role of financial intermediaries in the new century. Combining empirical knowledge with a historical approach, the author …
An Introduction to Bank Lending is a carefully chosen selection of articles relating to the evaluation of creditworthiness. The book examines both qualitative as well as quantitative aspects of the…
The latest in a series of studies in banking and international finance. This book deals with all aspects of the Glass-Steagall Act, and the relationship between the commercial banks and the investm…
This book examines major risks encountered by the global banking system and reflect on means of mastering them. Their analysis and evaluations have constituted the basis of intensive exchanges at t…
A complete framework for applications of behavioral finance in private banking, Behavioural Finance for Private Banking considers client needs specific to private banking like personal circumstance…
This guide provides an accessible approach to understanding international banking. It covers traditional course topics such as credit analysis, electronic banking, the Eurobond market, debt crisis,…