Download Handbook of Key Global Financial Markets, Institutions, and Infrastructure Ebook PDF

Handbook of Key Global Financial Markets, Institutions, and Infrastructure

Handbook of Key Global Financial Markets, Institutions, and Infrastructure
A Book

by Gerard Caprio,Douglas W. Arner,Thorsten Beck,Charles W. Calomiris,Larry Neal,Nicolas Véron

  • Publisher : Academic Press
  • Release : 2013
  • Pages : 611
  • ISBN : 0123978734
  • Language : En, Es, Fr & De
GET BOOK

This title begins its description of how we created a financially-intergrated world by first examining the history of financial globalization, from Roman practices and Ottoman finance to Chinese standards, the beginnings of corporate practices, and the advent of efforts to safeguard financial stability.

Handbooks in Financial Globalization: 3-Volume Set

Handbooks in Financial Globalization: 3-Volume Set
A Book

by Gerard Caprio

  • Publisher : Academic Press
  • Release : 2012-11-16
  • Pages : 2188
  • ISBN : 9780124072268
  • Language : En, Es, Fr & De
GET BOOK

These three volumes present the full complexity of the history, practices, and outlook of 21st century global financial integration. The Handbook of Key Global Financial Markets, Institutions, and Infrastructure explores the growth of markets, intermediaries, rights, practices, and standards worldwide. The Evidence and Impact of Financial Globalization devotes separate articles to specific crises, the conditions that cause them, and the longstanding arrangements devised to address them. The Handbook of Safeguarding Global Financial Stability examines our political economy, particularly the ways in which formal and informal policies as well as financial theories and technical models inhabit our institutions, strategies, and tactics. For those seeking substantial, authoritative descriptions and summaries, these volumes will replace books, journals, and other information sources with a coherent, easy-to-use reference work. Reveals and analyzes examples of financial integration in both triumph and crisis Features international perspectives on strategies and tactics for resolving crises Concentrates on economic and financial topics without introducing broader cultural subjects

Handbook of Key Global Financial Markets, Institutions, and Infrastructure

Handbook of Key Global Financial Markets, Institutions, and Infrastructure
A Book

by Anonim

  • Publisher : Academic Press
  • Release : 2012-12-17
  • Pages : 634
  • ISBN : 0124058981
  • Language : En, Es, Fr & De
GET BOOK

Understanding twenty-first century global financial integration requires a two-part background. The Handbook of Key Global Financial Markets, Institutions, and Infrastructure begins its description of how we created a financially-intergrated world by first examining the history of financial globalization, from Roman practices and Ottoman finance to Chinese standards, the beginnings of corporate practices, and the advent of efforts to safeguard financial stability. It then describes the architecture itself by analyzing its parts, such as markets, institutions, and infrastructure. The contributions of sovereign funds, auditing regulation, loan markets, property rights, compensation practices, Islamic finance, and others to the global architecture are closely examined. For those seeking substantial, authoritative descriptions and summaries, this volume will replace books, journals, and other information sources with a single, easy-to-use reference work. Substantial articles by top scholars sets this volume apart from other information sources Diverse international perspectives result in new opportunities for analysis and research Rapidly developing subjects will interest readers well into the future

Fragile by Design

Fragile by Design
The Political Origins of Banking Crises and Scarce Credit

by Charles W. Calomiris,Stephen H. Haber

  • Publisher : Princeton University Press
  • Release : 2015-08-04
  • Pages : 584
  • ISBN : 0691168350
  • Language : En, Es, Fr & De
GET BOOK

"Why are banking systems unstable in so many countries--but not in others? The United States has had twelve systemic banking crises since 1840, while Canada has had none. The banking systems of Mexico and Brazil have not only been crisis prone but have provided miniscule amounts of credit to business enterprises and households. Analyzing the political and banking history of the United Kingdom, the United States, Canada, Mexico, and Brazil through several centuries, Fragile by Design demonstrates that chronic banking crises and scarce credit are not accidents due to unforeseen circumstances. Rather, these fluctuations result from the complex bargains made between politicians, bankers, bank shareholders, depositors, debtors, and taxpayers. The well-being of banking systems depends on the abilities of political institutions to balance and limit how coalitions of these various groups influence government regulations. Fragile by Design is a revealing exploration of the ways that politics inevitably intrudes into bank regulation. Charles Calomiris and Stephen Haber combine political history and economics to examine how coalitions of politicians, bankers, and other interest groups form, why some endure while others are undermined, and how they generate policies that determine who gets to be a banker, who has access to credit, and who pays for bank bailouts and rescues."--Publisher's description.

Financial Innovation and Resilience

Financial Innovation and Resilience
A Comparative Perspective on the Public Banks of Naples (1462-1808)

by Lilia Costabile,Larry Neal

  • Publisher : Springer
  • Release : 2018-09-28
  • Pages : 372
  • ISBN : 3319902482
  • Language : En, Es, Fr & De
GET BOOK

As Ignazio Visco, Governor of the Bank of Italy, says in his Foreword, all economic policy makers today need to re-examine our history to help them confront the challenges of today. This edited volume focuses specifically on the theme of financial innovation and how financial resiliency was achieved in Naples. To highlight both the achievements of the public banks of Naples and their lessons for financial resiliency, the book focuses on financial crises and how they were overcome in Naples in contrast to other European financial systems. The first section focuses on the development of the public banks unique to Naples. The second section compares those with other banking systems and how they responded to the same shock in 1622, caused by the full mobilization of European belligerents to finance their efforts in the Thirty Years War. The next section compares lessons learned in the rest of Europe over the next century and a half. The final section comes back to original start of the narrative arc to suggest ways that today’s policymakers and thinkers could use the historical experience of the public banks of Naples to deal better with the ongoing problems stemming from the financial crisis of 2007-08.

Financial Market History: Reflections on the Past for Investors Today

Financial Market History: Reflections on the Past for Investors Today

by David Chambers,Elroy Dimson

  • Publisher : CFA Institute Research Foundation
  • Release : 2022
  • Pages : 304
  • ISBN : 1944960163
  • Language : En, Es, Fr & De
GET BOOK

Since the 2008 financial crisis, a resurgence of interest in economic and financial history has occurred among investment professionals. This book discusses some of the lessons drawn from the past that may help practitioners when thinking about their portfolios. The book’s editors, David Chambers and Elroy Dimson, are the academic leaders of the Newton Centre for Endowment Asset Management at the University of Cambridge in the United Kingdom.

Infrastructure Finance in Europe

Infrastructure Finance in Europe
Insights Into the History of Water, Transport, and Telecommunications

by Giuseppe De Luca,Massimo Florio

  • Publisher : Oxford University Press
  • Release : 2016-01-14
  • Pages : 400
  • ISBN : 019871341X
  • Language : En, Es, Fr & De
GET BOOK

Financing infrastructure has always been a challenging issue in any country. The social returns of investment in water, roads, railways, or more recently telegraph or communication satellites are often apparent in the long run, but this distant horizon poses special problems to governments and investors. This book explores the different historical paths to solving the problem of infrastructure finance in Europe, and draws upon findings of an international andinterdisciplinary research project. It offers, in a single work, a broad view over the main financing solutions elaborated in Europe to support infrastructures from the fall of the Roman Empire up to theend of the 20th century.

Microfinance Institutions

Microfinance Institutions
Financial and Social Performance

by R. Mersland,Ø. Strøm

  • Publisher : Springer
  • Release : 2014-12-10
  • Pages : 300
  • ISBN : 113739966X
  • Language : En, Es, Fr & De
GET BOOK

Research on MFI performance is still in its infancy. MFIs are hybrid organizations with dual objectives. Performance studies in microfinance are therefore less straightforward compared to performance studies in traditional banking research. This book contains new MFI performance research by top scholars from across the globe.

Asset Allocation and Private Markets

Asset Allocation and Private Markets
A Guide to Investing with Private Equity, Private Debt, and Private Real Assets

by Cyril Demaria,Maurice Pedergnana,Remy He,Roger Rissi,Sarah Debrand

  • Publisher : John Wiley & Sons
  • Release : 2021-03-03
  • Pages : 320
  • ISBN : 1119380995
  • Language : En, Es, Fr & De
GET BOOK

The comprehensive guide to private market asset allocation Asset Allocation and Private Markets provides institutional investors, such as pension funds, insurance groups and family offices, with a single-volume authoritative resource on including private markets in strategic asset allocation. Written by four academic and practitioner specialists, this book provides the background knowledge investors need, coupled with practical advice from experts in the field. The discussion focuses on private equity, private debt and private real assets, and their correlation with other asset classes to establish optimized investment portfolios. Armed with the grounded and critical perspectives provided in this book, investors can tailor their portfolio and effectively allocate assets to traditional and private markets in their best interest. In-depth discussion of return, risks, liquidity and other factors of asset allocation takes a more practical turn with guidance on allocation construction and capital deployment, the “endowment model,” and hedging — or lack thereof. Unique in the depth and breadth of information on this increasingly attractive asset class, this book is an invaluable resource for investors seeking new strategies. Discover alternative solutions to traditional asset allocation strategies Consider attractive returns of private markets Delve into private equity, private debt and private real assets Gain expert perspectives on correlation, risk, liquidity, and portfolio construction Private markets represent a substantial proportion of global wealth. Amidst disappointing returns from stocks and bonds, investors are increasingly looking to revitalise traditional asset allocation strategies by weighting private market structures more heavily in their portfolios. Pension fund and other long-term asset managers need deeper information than is typically provided in tangential reference in broader asset allocation literature; Asset Allocation and Private Markets fills the gap, with comprehensive information and practical guidance.

In Defense of Public Debt

In Defense of Public Debt
A Book

by Barry Eichengreen,Asmaa El-Ganainy,Rui Esteves,Kris James Mitchener

  • Publisher : Oxford University Press
  • Release : 2021
  • Pages : 320
  • ISBN : 019757789X
  • Language : En, Es, Fr & De
GET BOOK

Debt in service of the state -- States and the limits of borrowing -- Democratization and globalization -- Caveat emptor -- Managing problem debts -- Successful consolidation -- Warfare to welfare -- Cycles of debt -- Oil and water -- Missed opportunities -- Debt to the rescue -- COVID-19.

Tools and Techniques for Financial Stability Analysis

Tools and Techniques for Financial Stability Analysis
A Book

by Indranarain Ramlall

  • Publisher : Emerald Group Publishing
  • Release : 2018-12-14
  • Pages : 152
  • ISBN : 1787568474
  • Language : En, Es, Fr & De
GET BOOK

Tools and Techniques for Financial Stability Analysis explores all key aspects of analytical tools and challenges for sound financial stability assessments. Comprehensive coverage is given to value at risk, stress testing, graphical tools for financial stability, the financial system stress index, as well as ratios and metrics.

The Origins of Asset Management from 1700 to 1960

The Origins of Asset Management from 1700 to 1960
Towering Investors

by Nigel Edward Morecroft

  • Publisher : Springer
  • Release : 2017-04-22
  • Pages : 343
  • ISBN : 331951850X
  • Language : En, Es, Fr & De
GET BOOK

This book explores the origins and development of the asset management profession in Britain as a distinct activity within financial services, independent of banks and stockbrokers. Specifically, it identifies the main individuals and institutions after 1868 who established the profession. The book draws a distinction between banks (short-term deposit-taking) and asset management (an investment service with longer-term objectives). It explains why some banks fail but asset management businesses generally do not. It argues that asset management has been socially useful and has had a beneficial impact on the development of securities markets by offering choices to savers as an alternative to banks, improving the efficiency of capital allocation, re-cycling excess savings productively and enabling a range of investors - from institutions to individuals - to benefit from thoughtful, long-term investing.

The Theory of Credit Contracts

The Theory of Credit Contracts
With a Focus on Group Lending

by Christian Prem

  • Publisher : Springer Nature
  • Release : 2020-02-08
  • Pages : 281
  • ISBN : 3658293624
  • Language : En, Es, Fr & De
GET BOOK

In this book Christian Prem features new innovations on several levels. On a conceptual level he presents a complete restructuring and modularisation of the field of lending theory. On a formal level he bestows great care on providing precise definitions and promotes notational standardisation. On a technical level the development of an algorithm to solve repayment games automatically is thoroughly documented. Eventually, new theoretic results on the performance of various credit schemes are established, the quality of existing lending schemes is scrutinised and new more efficient mechanisms are presented. The content therefore inspires theorists as well as it provides well-grounded advice to practitioners in the lending industry. Altogether this thesis is a major step towards improving the quality and applicability of lending theory.

Creating Shared Value as Future Factor of Competition

Creating Shared Value as Future Factor of Competition
Analysis and Empirical Evidence

by Benedikt von Liel

  • Publisher : Springer
  • Release : 2016-05-13
  • Pages : 209
  • ISBN : 3658126035
  • Language : En, Es, Fr & De
GET BOOK

Benedikt von Liel provides a theoretical and empirical analysis of the concept of Creating Shared Value (CSV). In the theoretical analysis, the author assesses the uniqueness of the theory of Creating Shared Value by comparing it to other relevant social responsibility concepts. The empirical analysis provides insights from over 60 industry case studies of Creating Shared Value. The assessment includes the influence of geography as well as a range of other relevant external and internal factors. As a result, the author identifies critical success factors for the creation of shared value.

Credit Ratings and Market Over-reliance

Credit Ratings and Market Over-reliance
An International Legal Analysis

by Francesco De Pascalis

  • Publisher : BRILL
  • Release : 2017-06-26
  • Pages : 248
  • ISBN : 9004341854
  • Language : En, Es, Fr & De
GET BOOK

7.1.3 Evidence of Over-reliance on Credit Rating Legislative References -- 7.2 Anticipating the Post-crisis Debate on Over-reliance -- 7.2.1 CRA Message to the Regulators -- 7.2.2 CRA Message to the Users of Credit Ratings -- Concluding Remarks -- 8 Conclusions -- 8.1 Taking Stock of the Situation -- 8.2 Developing an Assertion into Certainty: Providing Evidence of Over-reliance -- 8.3 Encouraging More Dialogue and Coordination at All Levels -- 8.4 Ensuring More of a Level-playing Field among Credit Risk Assessment Tools -- 8.5 Looking Ahead -- Concluding Remarks -- Bibliography -- Index

The Cambridge Economic History of the Modern World: Volume 1, 1700 to 1870

The Cambridge Economic History of the Modern World: Volume 1, 1700 to 1870
A Book

by Stephen Broadberry,Kyoji Fukao

  • Publisher : Cambridge University Press
  • Release : 2021-06-24
  • Pages : 129
  • ISBN : 1009038028
  • Language : En, Es, Fr & De
GET BOOK

The first volume of The Cambridge Economic History of the Modern World traces the emergence of modern economic growth in eighteenth century Britain and its spread across the globe. Focusing on the period from 1700 to 1870, a team of leading experts in economic history offer a series of regional studies from around the world, as well as thematic analyses of key factors governing the differential outcomes in different parts of the global economy. Topics covered include population and human development, capital and technology, geography and institutions, living standards and inequality, international flows of trade and labour, the international monetary system, and war and empire.

Magnificence in the Seventeenth Century

Magnificence in the Seventeenth Century
Performing Splendour in Catholic and Protestant Contexts

by Gijs Versteegen,Stijn Bussels,Walter Melion

  • Publisher : BRILL
  • Release : 2020-11-23
  • Pages : 400
  • ISBN : 9004436804
  • Language : En, Es, Fr & De
GET BOOK

This volume explores the concept of magnificence as a social construction in seventeenth-century Europe.

The History of the Beer and Brewing Industry

The History of the Beer and Brewing Industry
A Book

by Ignazio Cabras,David Higgins

  • Publisher : Routledge
  • Release : 2018-04-19
  • Pages : 234
  • ISBN : 131721305X
  • Language : En, Es, Fr & De
GET BOOK

Beer is widely defined as the result of the brewing process which has been refined and improved over centuries. Beer is the drink of the masses – it is bought by consumers whose income, wealth, education, and ethnic background vary substantially, something which can be seen by taking a look at the range of customers in any pub, inn, or bar. But why has beer became so pervasive? What are the historical factors which make beer and the brewing industry so prominent? How has the brewing industry developed to become one of the most powerful global generators of output and revenue? This book answers these and other related questions by exploring the history of the beer and brewing industry at a global level. Contributors investigate a number of aspects, such as the role of geographical origin in branding; mergers, acquisitions, and corporate governance (UK, European and US perspectives); national and international political economy; taxation and regulation (including historical and contemporary practice); national and international trade flows and distribution networks; and historical trends in the commercialisation of beer. The chapters in this book were originally published as online articles in Business History.

A Companion to Medieval Genoa

A Companion to Medieval Genoa
A Book

by Anonim

  • Publisher : BRILL
  • Release : 2018-03-22
  • Pages : 588
  • ISBN : 9004360611
  • Language : En, Es, Fr & De
GET BOOK

A Companion to Medieval Genoa introduces recent scholarship on the vibrant and source-rich medieval history of Genoa, with thematic chapters positioning the city and its people within the broader history of Italy and the Mediterranean ca. 1100–1500.

Hernando Colon's New World of Books

Hernando Colon's New World of Books
Toward a Cartography of Knowledge

by Jose Maria Perez Fernandez,Edward Wilson-Lee

  • Publisher : Yale University Press
  • Release : 2021-01-26
  • Pages : 288
  • ISBN : 0300256205
  • Language : En, Es, Fr & De
GET BOOK

The untold story of the greatest library of the Renaissance and its creator Hernando ColónThis engaging book offers the first comprehensive account of the extraordinary projects of Hernando Colón, son of Christopher Columbus, which culminated in the creation of the greatest library of the Renaissance, with ambitions to be universal––that is, to bring together copies of every book, on every subject and in every language. Pérez Fernández and Wilson-Lee situate Hernando’s projects within the rapidly changing landscape of early modern knowledge, providing a concise history of the collection of information and the origins of public libraries, examining the challenges he faced and the solutions he devised. The two authors combine “meticulous research with deep and original thought,” shedding light on the history of libraries and the organization of knowledge. The result is an essential reference text for scholars of the early modern period, and for anyone interested in the expansion and dissemination of information and knowledge.