Recent developments in alternative f...
Barnett, William A.

 

  • Recent developments in alternative finance[electronic resource] :empirical assessments and economic implications /
  • 紀錄類型: 書目-語言資料,印刷品 : Monograph/item
    杜威分類號: 330
    書名/作者: Recent developments in alternative finance : empirical assessments and economic implications // edited by William A. Barnett, Fredj Jawadi.
    其他作者: Barnett, William A.
    出版者: Bingley, U.K. : : Emerald,, 2012.
    面頁冊數: 1 online resource (xvi, 342 p.) : : ill.
    標題: Economics.
    標題: Econometrics.
    ISBN: 9781781904008 (electronic bk.)
    ISBN: 9781781903995
    內容註: Introduction / William A. Barnett, Fredj Jawadi -- Divisia monetary aggregates for the GCC countries / Ryadh M. Alkhareif, William A. Barnett -- Euro zone bond market and economic growth : evidence from a time series analysis / Iuliana Matei -- International portfolio choice : the case of market competition / Makram Bellalah, Sonia Ben Said -- Can the wealth-to-income ratio be a useful predictor in alternative finance? : evidence from the housing risk premium / Manuel J. Rocha Armada, Ricardo M. Sousa -- The challenges of the mutual financial sphere : statutes to the test development / Michel Roux -- The origins of mutualist finance / Philippe Naszl̀yi -- Can cooperative banking become an alternative to capitalist finance? / Daniel Bachet -- Alternative financial decision principles : theoretical foundations of Islamic banks' capital structure / Kaouther Toumi, Wal︠ Louhichi, Jean-Laurent Viviani -- Islamic finance : an alternative finance or an antidote to the crisis of capitalism? / Geneviv̈e Causse -- The emergence of solidarity employee savings in France / Aude d'Andria -- Mood-misattribution effect on energy finance : a biorhythm approach / Marc Jot︠s -- Is microcredit a real innovation? / Laurence Attuel-Mends̈ -- Estimation of non-gaussian returns : the hedge funds case / Naceur Naguez, Jean-Luc Prigent -- Hedge funds and dynamic risk modeling / Wafa Kammoun Masmoudi -- Evaluation of hedge fund returns value at risk using GARCH models / Sabrina Khanniche.
    摘要、提要註: Since the global financial crisis began in 2008-2009, there has been a strong decline in financial markets and investment, and significant economic recession for most developed and emerging economies. Accordingly, new forms of alternative finance, management, control, accounting, trading and investment are being sought. Alternative finance presents challenges intended to stimulate investment and promote economic growth and development, as well as provide a return on investment during turbulent times. This volume aims to provide the reader with a comprehensive understanding of alternative finance in its various forms. It addresses the impact of the financial crisis and the failure of monetary and financial institutions to manage financial markets and handle the recent downturn. It also presents and discusses new research findings associated with alternative forms of investment and finance, and their economic and political implications.
    電子資源: http://www.emeraldinsight.com/1571-0386/22
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