Bank and Financial Market Efficiency -

Bank and Financial Market Efficiency

Global Perspectives
Buch | Hardcover
280 Seiten
2004
JAI Press Inc. (Verlag)
978-0-7623-1099-9 (ISBN)
159,60 inkl. MwSt
Examines the determinants of monetary and bank efficiency and the key factors that contribute to successful monetary and banking operations; the institutional factors that enhance or detract from the efficient manner in which markets work; and the macro, micro, and social factors that impact stock valuation and portfolio selection.
The papers in this volume empirically examine three evolving and important topics in financial economics: the determinants of monetary and bank efficiency and the key factors that contribute to successful monetary and banking operations; the institutional factors that enhance or detract from the efficient manner in which financial markets work; and the macro, micro, and social factors that impact stock valuation and optimum portfolio selection.

1. Monetary collapse during the great depression: Did the stock of money fall, or was it pushed? (P. Evans). 2. Information and International Spread of Banking Panics (V. Vaughan). 3. Bank failures in banking panics: Risky banks or road kill? (G.P. Dwyer Jr., R.W. Hafer). 4. Ownership structure, operating inefficiency and regulatory reform: An analysis of U.S. thrifts (F. Cebenoyan, A.S. Cebenoyan, E.S. Cooperman, C.A. Register). 5. Management of earnings: Evidence from the Indian banks (A. Anandarajan, D. Hossain). 6. Loan repayment in the Grameen Bank: The importance of gender and opportunity cost (F. Ameen). 7. Bancassurance and the future of banking (M. Nurullah). 8. State of informational efficiency of the South African equity market during the Apartheid, transition and the Post-Apartheid periods (T. Hasan, W. Karim). 9. Bank mergers in South Korea: Does government intervention add value? (S. Choi, J.P. Murtagh). 10. Stock market and economic forces during liberalization: Korean experience (G. Goswami, S.-C. Jung, S.Y. Chung). 11. Bidder gains: The under valuation hypothesis (M. Raj). 12. Replicating patterns in autocorrelated financial time series (R. Gorener, O. Demirel, J.R. Norsworthy). 13. Foreign portfolio investments and stock prices: An application to an emerging market (H. Kiymaz, U. Urganci).

Erscheint lt. Verlag 16.4.2004
Reihe/Serie Research in Banking and Finance
Sprache englisch
Maße 156 x 234 mm
Gewicht 571 g
Themenwelt Wirtschaft Betriebswirtschaft / Management Finanzierung
Betriebswirtschaft / Management Spezielle Betriebswirtschaftslehre Bankbetriebslehre
ISBN-10 0-7623-1099-5 / 0762310995
ISBN-13 978-0-7623-1099-9 / 9780762310999
Zustand Neuware
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