The Economics of Financial Services in Emerging Markets - Bhagirath Prakash Baria

The Economics of Financial Services in Emerging Markets

Measuring the Output of the Banking and Insurance Industries
Buch | Hardcover
320 Seiten
2022
Routledge (Verlag)
978-0-367-71213-6 (ISBN)
155,85 inkl. MwSt
This book condenses several theoretical, methodological, empirical, and philosophical issues in conceptualizing, measuring, and empirically operationalizing the economic output of the banking and insurance industries. The analytical focus is on both Global and Emerging Markets perspectives.
Any enquiry into the nature, performance, role, demerits, growth, efficiency, or other aspects of financial services such as banking and insurance activities, requires rigorous estimates of their economic output, i.e., the economic contributions made by these firms, as well as by the industries as a whole.

Accordingly, this book condenses several theoretical, methodological, empirical, and philosophical issues in conceptualizing, measuring, and empirically operationalizing the economic output of the banking and insurance industries. The analytical focus is on both Global and Emerging Markets perspectives. The book synthesizes applied and conceptual evidence to locate the chosen theme's analytical patterns, consensus, and disagreements. The selected subject matter is studied within the firm-level and aggregate settings, bringing literature of varied scopes together. Contributions from various international academics, practitioners, and policymakers further enrich the narrative.

The book concludes with data-driven case studies that analyze the extent to which the critical performance parameters of the banking and insurance industries in the BRIICS economies – including estimation of aggregate industry-level partial factor productivities, total factor productivity, technical efficiency, and returns to scale – vary concerning alternate measures of their output. The present work also provides a brief note on the inputs measurement dimension, following which there is a discussion on the limitations, future scope, and conclusions.

This work will be valuable for researchers and policymakers undertaking performance analyses related to banking and insurance activities. It shall provide them with the examination of a plethora of analytical options and related issues on the theory and praxis of output measurement, all finely organized into one single volume.

Bhagirath Prakash Baria is Assistant Professor at the Department of Banking and Insurance, Faculty of Commerce, Maharaja Sayajirao University of Baroda, India. The broad areas of his interest include macroeconomics of banking, agricultural productivity, and performance analysis of banking and insurance industries. The author strongly believes in pluralism in both teaching and research. He has a Masters’ Degree in Business Economics with two Gold Medals, has published in several reputed national and international journals, won a Young Researcher Award, founded a non-profit educational initiative called The Cafe Economics (TCE), and is pursuing a Ph.D. in the area of International Finance.

1. Setting the Analytical Background Part I – Survey of Evidences: Theoretical and Empirical issues 2. Qualitative and quantitative aspects of the survey of literature 3. Review of evidence on banking output measurement: Global perspective 4. Review of evidence on insurance output measurement: Global perspective 5. Extended notes on the banking and insurance output measurement problem Part II – Expert opinions and contributions: Emerging Markets Perspective 6. Method and rationale 7. Expert perspectives on output measurement in banking and insurance Part III - Empirical Case Studies: A BRIICS perspective 8. Empirical case studies for the banking industry on implications of using alternative output definitions 9. Testing the Empirical Sensitivity of major performance indicators of the insurance industry under alternative output definitions: Selected Exercises Part IV: Extended notes and concluding remarks 10. Inputs measurement issues 11. Limitations, future scope and concluding remarks

Erscheinungsdatum
Reihe/Serie Banking, Money and International Finance
Zusatzinfo 93 Tables, black and white; 23 Line drawings, black and white; 23 Illustrations, black and white
Verlagsort London
Sprache englisch
Maße 156 x 234 mm
Gewicht 789 g
Themenwelt Wirtschaft Betriebswirtschaft / Management Finanzierung
Betriebswirtschaft / Management Spezielle Betriebswirtschaftslehre Bankbetriebslehre
Wirtschaft Volkswirtschaftslehre Finanzwissenschaft
Wirtschaft Volkswirtschaftslehre Makroökonomie
ISBN-10 0-367-71213-X / 036771213X
ISBN-13 978-0-367-71213-6 / 9780367712136
Zustand Neuware
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Buch | Softcover (2023)
Vahlen, Franz (Verlag)
36,90