Crisis, Risk and Stability in Financial Markets 2013th Edition

Crisis, Risk and Stability in Financial Markets 2013th Edition book cover

Crisis, Risk and Stability in Financial Markets 2013th Edition

Author(s): Kenneth A. Loparo

  • Publisher: Palgrave Macmillan
  • Publication Date: 29 Nov. 2012
  • Edition: 2013th
  • Language: English
  • Print length: 248 pages
  • ISBN-10: 1137001828
  • ISBN-13: 9781137001825

Book Description

This book presents an in-depth appreciation of key topics related to the behaviour of financial institutions in the crisis and stresses areas of major research interest. It covers a selection of papers specialising ranging from the analysis of bank and stock market performance in the crisis, to other areas such as microinsurance and social lending.

Editorial Reviews

About the Author

MARTA DE LA CUESTA UNED, Madrid, Spain JOSANCO FLOREANI University of Udine, Italy PASQUALE LA GANGA Bank of Italy, Rome FRANCISCO JAVIER GARAYOA Universidad Pontificia de Salamanca, Spain ELISABETTA GUALANDRI Università degli Studi di Modena e Reggio Emilia, Italy TED LINDBLOM University of Gothenburg, Sweden FABIOMASSIMO MANGO University of Rome ‘La Sapienza’, Italy PIERLUIGI MORELLI Centro Europa Ricerche, Italy LUIS PEDAUGA University of Granada, Spain GIOVANNI B. PITTALUGA Università di Genova, Italy MAURIZIO POLATO University of Udine, Italy CRISTINA RUZA – UNED, Madrid, Spain CARLOS SALVADOR Universitat de València, Spain ELENA SEGHEZZA Università di Genova, Italy MARIO LA TORRE University of Rome ‘La Sapienza’, Italy SANTIAGO CARBO VALVERDE University of Granada, Spain, and Federal Reserve Bank of Chicago GIANFRANCO A. VENTO Regent’s College, London & Guglielmo Marconi University, Rome MAGNUS WILLESSON Linnaeus University, Sweden

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