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Genre | : |
Author | : Victoria. Treasury Dept |
Publisher | : |
Release | : 1897 |
File | : 244 Pages |
ISBN-13 | : UCAL:C2627692 |
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Genre | : |
Author | : Victoria. Treasury Dept |
Publisher | : |
Release | : 1897 |
File | : 244 Pages |
ISBN-13 | : UCAL:C2627692 |
The 2008 financial crisis has become one of the defining features of the twenty first century’s first decade. The series of events which unfolded in the aftermath of the crisis has exposed major structural flaws in many of the financial systems around the globe, triggering a global call for legal and regulatory reforms to address the problems that have been uncovered. This book deals with a neglected angle of the 2008 financial crisis looking in-depth at the implicit effects of the 2008 crisis on the UK financial market. The book considers new trends in finance which have emerged since the crisis as well as the challenges faced by some older practices in the UK financial markets. After providing a reflective account of the history of law and creditors in the UK the book investigates the proliferation of certain forms of financing that have recently become very visible parts of the UK financial market’s structure, such as high cost short term lending and peer to peer lending. It provides legal and economic accounts of these forms of alternative lending, charting their developments, current status and critically assesses their impact on the UK financial market. Also examined are the ongoing funding difficulties faced by Small and Medium Enterprises (SMEs) and the suitability of the UK current legal framework to support these institutions. The book goes on to look at the viability and safety of some other post crisis trends such as banks use of Contingent Convertible Bonds (CoCos) to improve their resilience.
Genre | : Business & Economics |
Author | : Abdul Karim Aldohni |
Publisher | : Routledge |
Release | : 2016-12-19 |
File | : 224 Pages |
ISBN-13 | : 9781317385578 |
Small jurisdictions have become significant players in cross-border corporate and financial services. Their nature, legal status, and market roles, however, remain under-theorized. Lacking a sufficiently nuanced framework to describe their functions in cross-border finance - and the peculiar strengths of those achieving global dominance in the marketplace - it remains impossible to evaluate their impacts in a comprehensive manner. This book advances a new conceptual framework to refine the analysis and direct it toward more productive inquiries. Bruner canvasses extant theoretical frameworks used to describe and evaluate the roles of small jurisdictions in cross-border finance. He then proposes a new concept that better captures the characteristics, competitive strategies, and market roles of those achieving global dominance in the marketplace - the "market-dominant small jurisdiction" (MDSJ). Bruner identifies the central features giving rise to such jurisdictions' competitive strengths - some reflect historical, cultural, and geographic circumstances, while others reflect development strategies pursued in light of those circumstances. Through this lens, he evaluates a range of small jurisdictions that have achieved global dominance in specialized areas of cross-border finance, including Bermuda, Dubai, Singapore, Hong Kong, Switzerland, and Delaware. Bruner further tests the MDSJ concept's explanatory power through a broader comparative analysis, and he concludes that the MDSJs' significance will likely continue to grow - as will the need for a more effective means of theorizing their roles in cross-border finance and the global dynamics generated by their ascendance.
Genre | : Law |
Author | : Christopher M. Bruner |
Publisher | : Oxford University Press |
Release | : 2016-11-11 |
File | : 265 Pages |
ISBN-13 | : 9780190466893 |
International Finance and Open-Economy Macroeconomics provides a complete theoretical, historical, and policy-focused account of the international financial system that covers all of the standard topics, such as foreign exchange markets, balance of payments accounting, macroeconomic policy in an open economy, exchange rate crises, multinational enterprises, and international financial markets. The book uses the 1944 Bretton Woods Conference as a unifying theme to relate the many controversial issue. It is written in a lively manner to bring real world events into the discussion of all of the concepts, topics, and policy issues. There is also emphasis on the history of economic thought in order to explain how economists in different time periods dealt with international financial issues.
Genre | : Business & Economics |
Author | : Hendrik Van Den Berg |
Publisher | : World Scientific Publishing Company |
Release | : 2016-02-22 |
File | : 987 Pages |
ISBN-13 | : 9789814651189 |
Behavioral Finance helps investors understand unusual asset prices and empirical observations originating out of capital markets. At its core, this field of study aids investors in navigating complex psychological trappings in market behavior and making smarter investment decisions. Behavioral Finance and Capital Markets reveals the main foundations underpinning neoclassical capital market and asset pricing theory, as filtered through the lens of behavioral finance. Szyszka presents and classifies many of the dynamic arguments being made in the current literature on the topic through the use of a new, ground-breaking methodology termed: the General Behavioral Asset Pricing Model (GBM). GBM describes how asset prices are influenced by various behavioral heuristics and how these prices deviate from fundamental values due to irrational behavior on the part of investors. The connection between psychological factors responsible for irrational behavior and market pricing anomalies is featured extensively throughout the text. Alternative explanations for various theoretical and empirical market puzzles - such as the 2008 U.S. financial crisis - are also discussed in a convincing and interesting manner. The book also provides interesting insights into behavioral aspects of corporate finance.
Genre | : Business & Economics |
Author | : A. Szyszka |
Publisher | : Springer |
Release | : 2013-09-04 |
File | : 417 Pages |
ISBN-13 | : 9781137366290 |
Money and Finance After the Crisis provides a critical multi-disciplinary perspective on the post-crisis financial world in all its complexity, dynamism and unpredictability. Contributions illuminate the diversity of ways in which money and finance continue to shape global political economy and society. A multidisciplinary collection of essays that study the geographies of money and finance that have unfolded in the wake of the financial crisis Contributions discuss a wide range of contemporary social formations, including the complexities of modern debt-driven financial markets Chapters critically explore proliferating forms and spaces of financial power, from the realms of orthodox finance capital to biodiversity conservation Contributions demonstrate the centrality of money and finance to contemporary capitalism and its political and cultural economies
Genre | : Science |
Author | : Brett Christophers |
Publisher | : John Wiley & Sons |
Release | : 2017-09-05 |
File | : 274 Pages |
ISBN-13 | : 9781119051435 |
This title was first published in 1978. For students of politics the documents in this collection offer an opportunity to analyze a broad policy area - finance and commerce - in search of specific mechanisms by which dictatorship and popular will are both given expression in political life.
Genre | : Social Science |
Author | : Gordon A. Bennett |
Publisher | : Routledge |
Release | : 2017-09-29 |
File | : 265 Pages |
ISBN-13 | : 9781351697019 |
A summary of state campaign finance laws with quick reference charts for the U.S. territories and possessions.
Genre | : Campaign funds |
Author | : |
Publisher | : |
Release | : |
File | : 776 Pages |
ISBN-13 | : WISC:89124143744 |
This book explores contemporary issues and trends facing Islamic banks, businesses and economies as presented at the International Conference of Islamic Economics, Banking and Finance. The authors leverage current empirical research and statistics to provide unique and fresh perspectives on the changing world of Islamic finance. They focus specifically on to the implementation of Islamic financial instruments and services in global capital markets and how their success can be evaluated. Chapters feature case studies from all over the world including examples from Afghanistan, Bosnia and Herzegovina and the United Kingdom, to name a few. The breadth and immediacy of the research presented by the authors will appeal to practitioners and scholars alike. The global outlook and rich data-based approach adopted in this book guarantee that it is a timely and valuable addition to the field of Islamic finance.
Genre | : Business & Economics |
Author | : Velid Efendić |
Publisher | : Springer |
Release | : 2017-05-04 |
File | : 246 Pages |
ISBN-13 | : 9783319450292 |
This book is a selection of research by a Chinese economist who explains China's financial system, as well as predicting the future. The selected 45 articles focus on six topics covering diverse levels: China's macroeconomic and financial system, financial institutions, payment and clearing industry, inclusive finance, urbanization and financial supervision. The book builds a brand overview on China's financial development trend in the past recent years and long term.--
Genre | : Business & Economics |
Author | : Shusong Ba |
Publisher | : Springer Nature |
Release | : 2022-01-23 |
File | : 364 Pages |
ISBN-13 | : 9789811682094 |