Financial Markets, SME Financing and Emerging Economies

Financial Markets, SME Financing and Emerging Economies

 
Edition number: 1st ed. 2017
Publisher: Palgrave Macmillan
Date of Publication:
Number of Volumes: 1 pieces, Book
 
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Product details:

ISBN13:9783319548906
ISBN10:3319548905
Binding:Hardback
No. of pages:159 pages
Size:210x148 mm
Weight:3291 g
Language:English
Illustrations: 13 Illustrations, black & white
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Short description:

This book investigates small and medium sized enterprises (SMEs) access to credit, the earning quality, and the cost of debt in the European Union. It also examines two important risk measures in financial markets: the volatility index (VIX) and Credit Default Swaps (CDS). Finally, it deep dives inside one of the most important emerging markets, China, to assess monetary policy and the relationship between financial institutions and real estate firms. This work will appeal to both academics and practitioners in the areas of SME financing, financial markets and emerging economies.

Long description:

This book investigates small and medium sized enterprises (SMEs) access to credit, the earning quality, and the cost of debt in the European Union. It also examines two important risk measures in financial markets: the volatility index (VIX) and Credit Default Swaps (CDS). Finally, it deep dives inside one of the most important emerging markets, China, to assess monetary policy and the relationship between financial institutions and real estate firms. This work will appeal to both academics and practitioners in the areas of SME financing, financial markets and emerging economies.

Table of Contents:
Chapter 1: Credit conditions and UK SMEs: An empirical investigation.- Chapter 2: Earning quality and the cost of debt of SMEs.-Chapter 3: Which factors determine credit availability? Evidence from the current crisis.- Chapter 4: What is and what is not regulatory arbitrage? A review of the literature in search for an operative definition.- Chapter 5: Forecasting models and probabilistic sensitivity analysis: an application to bank?s risk appetite thresholds within the Risk Appetite Framework.- Chapter 6: Forecasting volatility and computing value-at-risk with the VIX index: is it worthwhile?- Chapter 7: The determinants of CDS spreads: the case of banks.- Chapter 8: Liquidity Co-movement between Financial Institutions and Real Estate Firms: Evidence from China.- Chapter 9: China?s policy transition from trilemma to quadrilemma in light of its ?new normal? economy.?