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The financial crisis[electronic reso...
~
Amann, Wolfgang.
The financial crisis[electronic resource] :implications for research and teaching /
紀錄類型:
書目-電子資源 : Monograph/item
杜威分類號:
332.071
書名/作者:
The financial crisis : implications for research and teaching // edited by Ted Azarmi, Wolfgang Amann.
其他作者:
Azarmi, Ted.
出版者:
Cham : : Springer International Publishing :, 2016.
面頁冊數:
xi, 175 p. : : ill., digital ;; 24 cm.
Contained By:
Springer eBooks
標題:
Banks and banking.
標題:
Finance - Terminology - Study and teaching.
標題:
Financial crises.
標題:
Economics.
標題:
Macroeconomics/Monetary Economics//Financial Economics.
標題:
Higher Education.
標題:
Finance, general.
標題:
International Economics.
ISBN:
9783319205885
ISBN:
9783319205878
內容註:
Introduction -- Finance and the Financial Crisis -- Corporate Governance and Restructuring Through Spin-Offs: European Evidence -- Alternative Specification of Bank Lending in France and Germany: Theory, Evidence and Policy Implications -- Towards Banking Union in Europe - an Interim Assessment -- A World Without Money Needs No Banks and No Rating -- Detection of Put-Call Parity Violations with Limited Arbitrage: A Regulatory Tool for Detecting Financial Irregularity -- Enabling Holistic Finance Education in Turbulent Times -- Actual Problems of Finance Teaching in Ukraine in the Post-Crisis Period -- Executive Compensation and Risk Taking: The Impact of Systemic Crises -- Measuring the Success of Executive Education - Comprehensively Depicting Holistic Finance Education -- Conclusion.
摘要、提要註:
This book brings together a good mix of academics and practitioners for a discussion that focuses on how to change financial practice and the academic field of finance in order to understand the current financial crisis and deal with future turbulent financial times. The volume is based on contributions by prominent academics and practitioners from Europe, Asia and the USA. The book contains several essays, most prominently by Maurizio Murgia, an internationally renowned European corporate finance scholar, and Robert E. Krainer, a senior professor with banking and business cycles research interest from University of Wisconsin-Madison. This book also deals with pedagogical, empirical and theoretical considerations in light of the crisis.
電子資源:
http://dx.doi.org/10.1007/978-3-319-20588-5
The financial crisis[electronic resource] :implications for research and teaching /
The financial crisis
implications for research and teaching /[electronic resource] :edited by Ted Azarmi, Wolfgang Amann. - Cham :Springer International Publishing :2016. - xi, 175 p. :ill., digital ;24 cm.
Introduction -- Finance and the Financial Crisis -- Corporate Governance and Restructuring Through Spin-Offs: European Evidence -- Alternative Specification of Bank Lending in France and Germany: Theory, Evidence and Policy Implications -- Towards Banking Union in Europe - an Interim Assessment -- A World Without Money Needs No Banks and No Rating -- Detection of Put-Call Parity Violations with Limited Arbitrage: A Regulatory Tool for Detecting Financial Irregularity -- Enabling Holistic Finance Education in Turbulent Times -- Actual Problems of Finance Teaching in Ukraine in the Post-Crisis Period -- Executive Compensation and Risk Taking: The Impact of Systemic Crises -- Measuring the Success of Executive Education - Comprehensively Depicting Holistic Finance Education -- Conclusion.
This book brings together a good mix of academics and practitioners for a discussion that focuses on how to change financial practice and the academic field of finance in order to understand the current financial crisis and deal with future turbulent financial times. The volume is based on contributions by prominent academics and practitioners from Europe, Asia and the USA. The book contains several essays, most prominently by Maurizio Murgia, an internationally renowned European corporate finance scholar, and Robert E. Krainer, a senior professor with banking and business cycles research interest from University of Wisconsin-Madison. This book also deals with pedagogical, empirical and theoretical considerations in light of the crisis.
ISBN: 9783319205885
Standard No.: 10.1007/978-3-319-20588-5doiSubjects--Topical Terms:
189644
Banks and banking.
LC Class. No.: HG152 / .F56 2016
Dewey Class. No.: 332.071
The financial crisis[electronic resource] :implications for research and teaching /
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Introduction -- Finance and the Financial Crisis -- Corporate Governance and Restructuring Through Spin-Offs: European Evidence -- Alternative Specification of Bank Lending in France and Germany: Theory, Evidence and Policy Implications -- Towards Banking Union in Europe - an Interim Assessment -- A World Without Money Needs No Banks and No Rating -- Detection of Put-Call Parity Violations with Limited Arbitrage: A Regulatory Tool for Detecting Financial Irregularity -- Enabling Holistic Finance Education in Turbulent Times -- Actual Problems of Finance Teaching in Ukraine in the Post-Crisis Period -- Executive Compensation and Risk Taking: The Impact of Systemic Crises -- Measuring the Success of Executive Education - Comprehensively Depicting Holistic Finance Education -- Conclusion.
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