Introduction to Banking - Barbara Casu, Claudia Girardone, Philip Molyneux

Introduction to Banking

Buch | Softcover
840 Seiten
2021 | 3rd edition
Pearson Education Limited (Verlag)
978-1-292-24033-6 (ISBN)
73,55 inkl. MwSt
Gain a thorough insight into the business of banking 
Introduction to Banking, 3rd edition, by Casu, Girardone and Molyneux offers an in-depth overview of the theoretical and applied issues in the global banking industry. Organised into five sections, it covers contemporary topics in banking, ranging from central banking and bank regulation, to bank management and corporate governance, providing the most up-to-date information on banking practice. 
The new edition discusses the developments contributing to the rapid transformation of the banking sector, such as digitalisation of banking and emergence of non-bank providers, the growing importance of sustainable banking, the FinTech boom, the impact of Covid-19 on banking services, structural and regulatory changes in the banking industry, and the growth of Islamic banking. 
Suitable for all undergraduate students taking a course in banking as well as professionals entering this industry, this text also provides background reading for postgraduate students on more advanced topics in banking. 

“I truly welcome this thoroughly revised edition of the Introduction to Banking textbook. Its authors are world-class scholars who on a daily basis research a wide array of highly relevant banking topics and maintain many close contacts with the commercial and central banking community. I can see no better guides to lead undergraduates into the fascinating (and at times bewildering) banking landscape.” 

Steven Ongena, Professor of Banking, University of Zurich, Swiss Finance Institute and CEPR 



About the authors: 
Barbara Casu is the Director of the Centre for Banking Research at Bayes Business School, City, University of London where she is Professor of Banking and Finance. 
Claudia Girardone is Professor of Banking and Finance, Director of Essex Finance Centre (EFiC) and the Essex Business School's Director of Research. 
Philip Molyneux is Emeritus Professor at Bangor University. 
 
Pearson, the world's learning company

Barbara Casu is the Director of the Centre for Banking Research at Bayes Business School, City, University of London where she is Professor of Banking and Finance. She is also the Director of the Bayes Executive PhD Programme. She has over 50 publications in peer-reviewed journals, including Review of Economics and Statistics, Journal of Money, Credit and Banking and Journal of Corporate Finance. Claudia Girardone is Professor of Banking and Finance, Director of Essex Finance Centre (EFiC) and the Essex Business School's Director of Research. She has published over 50 articles in peer-reviewed international journals, including Journal of Corporate Finance, European Journal of Operational Research, Journal of Financial Stability and Journal of Financial Services Research. Philip Molyneux is Emeritus Professor at Bangor University. He previously was the Dean of the College of Business Administration at the University of Sharjah. He has published widely in the banking area including articles in the Journal of Money Credit and Banking, Journal of Banking and Finance, Journal of Financial Intermediation, Review of Finance and Journal of Financial Stability.

Preface Acknowledgements List of abbreviations and acronyms 
Part 1 Introduction to banking
1. What is special about banks? 2. Bank activities and services 3. Types of banking 4. International banking 5. Islamic banking
Part 2 Central banking and bank regulation
6. Central Banking 7. Bank regulation and supervision 8. Bank failures and banking crises
Part 3 Issues in bank management
9. Banks' balance sheet and income structure 10. Bank financial management 11. Banking risks 12. Bank risk management
Part 4 Comparative banking markets
13. Banking in the UK 14. Banking in Europe 15. Banking in the US 16. Banking in Japan 17. Banking in emerging markets
Part 5 Advanced topics in banking
18. Banks and markets 19. Mergers and acquisitions 20. Bank competition and financial stability
Appendix A1 Interest rates, bonds and yields Appendix A2 Introduction to portfolio theory Glossary References and further reading Index

Erscheinungsdatum
Verlagsort Harlow
Sprache englisch
Maße 190 x 247 mm
Gewicht 1380 g
Themenwelt Wirtschaft Betriebswirtschaft / Management Finanzierung
Betriebswirtschaft / Management Spezielle Betriebswirtschaftslehre Bankbetriebslehre
Wirtschaft Volkswirtschaftslehre Finanzwissenschaft
ISBN-10 1-292-24033-4 / 1292240334
ISBN-13 978-1-292-24033-6 / 9781292240336
Zustand Neuware
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