Handbook of European Financial Markets and Institutions
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Product details:
- Publisher OUP Oxford
- Date of Publication 3 January 2008
- ISBN 9780199229956
- Binding Hardback
- No. of pages838 pages
- Size 253x177x48 mm
- Weight 1611 g
- Language English
- Illustrations numerous tables and figures 0
Categories
Short description:
Written by leading academics and practitioners, this book provides an overview of financial markets and addresses major policy issues using the most advanced tools of theoretical and empirical economic analysis. In particular, the book focuses on financial integration and the structural reforms now taking place in the European financial sector.
MoreLong description:
The development and integration of financial markets is at the forefront of academic and policy debates around the world. Nowhere is this more in evidence than in Europe where the integration of financial markets is a primary objective of the European Commission and fully supported by the European Central Bank. This book brings together leading economists from across the world to analyse the central issues in the development and integration of financial markets from a European perspective whilst highlighting their global relevance. The book is a timely contribution as it appears at a time when the effects of monetary unification on the one hand and the Financial Sector Action Plan on the other are beginning to shape a new pan European financial market.
Financial Markets and Institutions is a must-have reference for policymakers, financial market practitioners, and graduate students and academics with an interest in this increasingly important area. Each contribution is written in a rigorous but non-technical fashion, drawing on the latest theories and empirical evidence making them accessible to lay readers as well as academic specialists.
Table of Contents:
Preface
Foreword
Introduction
Part I Financial Systems and Economic Performance
Financial Structure and Corporate Governance in Europe, the US, and Asia
Finance and Growth: A Macroeconomic Assessment of the Evidence from a European Angle
Interaction Effects in the Relationship Between Growth and Finance
The Role of Financial Markets and Innovation for Prodcutivity and Growth in Europe
Measuring European Financial Integration
Financial Integration and Economic Welfare
Part II Financial Systems and the Corporate Sector
Corporate Finance in Europe: A Survery
The Economics of the EU's Corporate-insolvency Law and the Quest for Harminisation by Market Forces
Takeovers
Recent Developments in Corporate Governance
The Development and Performance of European Private Equity
Part III Financial Institutions
Technology, Regulation, and the Geographical Scope of Banking
Asset Management in Europe
Pension Funds and the Evolution of Financial Markets in the European Union
Insurance and Reinsurance Companies
European Integration of Payments Systems
Part IV Financial Markets
The Euro Money Markets
The European Bond Markets Under EMU
Equity Returns and Integration: Is Europe Changing?
Post-Trading Services and European Securities Markets
Derivative Markets
Structured Finance
Location and Competition Between Financial Centers
Part V Financial Regulation and Macroeconomic Policy
EU Securities Markets Regulation: Problems, Policies, and Processes
The Supervision of an Integrating European Banking Sector: Theory, Practice and Challenges
Bank Regulation and Macroeconomic Fluctuations
Financial Structure and Monetary Transmission in the EMU
Monetary Policy Implementation