New Perspectives on the Bank Firm Relationship

New Perspectives on the Bank Firm Relationship
Author: Paola Ferretti
Publsiher: Springer
Total Pages: 189
Release: 2016-11-14
Genre: Business & Economics
ISBN: 9783319403311

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This book analyses the connections between the banking industry in Europe and the companies it finances. Ferretti specifically studies how these bonds have evolved over time and questions whether now is the time for a change in the relationship’s dynamics. Chapters discuss the role of bank lending in firms’ financing during the recent financial crisis, as well as issues in credit risk management. The discussion also examines regulatory requirements impacting banks and firms (Basel III) and how they intersect with banks’ internal purposes. Moreover, the book explores how the financial crisis has impacted the relationship between banks and businesses, and seeks to identify the strengths and weaknesses inherent to it. Through this timely discussion, Ferretti looks to the future of the relationship between banks and non-financial organizations to see how they can be revitalised, adapted and reimagined in a post-crisis economy.

Credit Rating and Bank Firm Relationships

Credit Rating and Bank Firm Relationships
Author: Michele Modina
Publsiher: Springer
Total Pages: 181
Release: 2015-09-22
Genre: Business & Economics
ISBN: 9781137496225

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This book explores the role of the rating system in creditworthiness assessment, looking into its current status, strengths and weaknesses and possible evolution in the light of Basel 3 and the Global Economic Crisis.

Banking and Financial Markets

Banking and Financial Markets
Author: Paola Ferretti,Pierluigi Martino
Publsiher: Springer Nature
Total Pages: 123
Release: 2023-06-26
Genre: Business & Economics
ISBN: 9783031325625

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This book provides the foundational knowledge essential for comprehending the functioning of financial markets and institutions and their current challenges. First, the book provides a general overview on the functioning of the EU financial system, examining financial markets and financial intermediaries’ features and activity and their contribution to economic growth. It also outlines the evolution of the EU integration process, giving an overview of the most important regulatory steps related to the banking and financial system culminated in the creation of the Banking Union. Banking activity is also examined in the most important business areas: commercial versus investment banking. Lastly, the book introduces two important phenomena, which are currently characterizing the financial environment: FinTech and sustainable finance. Both FinTech and sustainable finance represent significant opportunities for the market and the operators, even if the challenges and risks associated are also relevant. This underlines the need to understand their intensity and their potential impact on the functioning of the financial system as a whole.

Accounting and Finance

Accounting and Finance
Author: Reza Gharoie Ahangar,Can Ozturk
Publsiher: BoD – Books on Demand
Total Pages: 150
Release: 2019-12-18
Genre: Business & Economics
ISBN: 9781839681974

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Accounting and finance are common terms for users of financial information. Nowadays the reporting of financial as well as non-financial information of an entity, and efficiency in the banking system, are considered to be important issues by creditors, investors, and managers of financial markets.Over four sections this book addresses topics including national accounting standards and financial statement disclosure; foreign direct investment and the roles of accounting valuations and earnings management during the global financial crisis; and bankruptcy risk, banking efficiency, and debt restructuring in the United Nations General Assembly Resolution.

New Perspectives on Asset Price Bubbles

New Perspectives on Asset Price Bubbles
Author: Douglas D. Evanoff,George G. Kaufman,A. G. Malliaris
Publsiher: Oxford University Press
Total Pages: 480
Release: 2012-02-08
Genre: Business & Economics
ISBN: 9780199939404

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This volume critically re-examines the profession's understanding of asset bubbles in light of the global financial crisis of 2007-09. It is well known that bubbles have occurred in the past, with the October 1929 crash as the most demonstrative example. However, the remarkably well-behaved performance of the US economy from 1945 to 2006, and, in particular during the Great Moderation period of 1984 to 2006, assured the economics profession and monetary policymakers that asset bubbles could be effectively managed with little or no real economic impact. The recent financial crisis has now triggered a debate about the emergence of a sequence of repeated bubbles in the Nasdaq market, housing market, credit market, and commodity markets. The realities of the crisis have intensified theoretical modeling, empirical methodologies, and debate on policy issues surrounding asset price bubbles and their potentially adverse economic impact if poorly managed. Taking a novel approach, the editors of this book present five classic papers that represent accepted thinking about asset bubbles prior to the financial crisis. They also include original papers challenging orthodox thinking and presenting new insights. A summary essay highlights the lessons learned and experiences gained since the crisis.

New Perspectives on Supply and Distribution Chain Financing Case Studies from China and Europe

New Perspectives on Supply and Distribution Chain Financing  Case Studies from China and Europe
Author: Georg Baltes
Publsiher: BoD – Books on Demand
Total Pages: 398
Release: 2015-02-16
Genre: Business & Economics
ISBN: 9783844103847

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Globalization no longer means simply finding low-cost countries for sourcing, but has involved to include the opportunity for growth in Asia’s emerging domestic markets, specifically China. This development results in extended, truly global supply chains and thus places a higher pressure on working capital. Therefore, several definitions of Supply Chain Management already encompass financial aspects and demand a more integrated consideration of material, information, and financial flows within supply chains. However, more precise theory on “Supply Chain Financing” is understudied and initial implementation of related solutions in industry has only gained momentum during and after the economic and financial crises of 2008 and 2009. In contrast to traditional financial instruments for supply chains – for instance trade finance products which have been around for more than a century – Supply Chain Financing leverages larger and influential members of supply chains. These firms might, for instance, provide easier and cheaper access to financing for smaller supply chain members supporting their profitability through renegotiated and reduced purchasing prices. Echoing recent research results on supply chain risk management, other firms may prefer to take on a supply chain perspective and work on creating agile and resilient supply chains. In this context, Supply Chain Financing can be employed to ensure liquidity for crucial upstream and downstream supply chain partners thereby allowing a firm to effectively control risk while making the most of remaining growth opportunities in emerging markets like China!

New Perspectives in International Business Research

New Perspectives in International Business Research
Author: Maryann P. Feldman,Grazia D. Santangelo
Publsiher: Emerald Group Publishing
Total Pages: 328
Release: 2008-10-01
Genre: Business & Economics
ISBN: 9781848552791

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Proposes fresh perspectives in IB research by addressing a number of critical issues which criss-cross the fields of International Business and International Management. This work focuses on management of cultural distance across countries. It also focuses on the genesis and development of international entrepreneurs.

Risk Management

Risk Management
Author: Thomas Wolke
Publsiher: Walter de Gruyter GmbH & Co KG
Total Pages: 378
Release: 2017-09-25
Genre: Business & Economics
ISBN: 9783110440539

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This book is the English edition of the German third edition, which has proven to be a standard work on the subject of risk management. The English edition extends the scope of use to the English-language bachelor's and master's degree courses in economics and for potential use (especially as a reference work) in the professional practice of risk management. The subject of the book is company-wide risk management based on the Value at Risk concept. This includes quantitative and qualitative risk measurement, risk analysis based on the RoRaC and various management tools for risk control. Other topics covered are the peculiarities of the various risk types, e.g. risk management of the effects of climate change, the global financial crisis and risk reporting. The book is rounded off by a comprehensive case study, in which all aspects are summarized. The volume is thus an indispensable standard work for students and practitioners.