Austrian Post 5.99 DPD courier 6.49 GLS courier 4.49

Size, Risk, and Governance in European Banking

Language EnglishEnglish
Book Hardback
Book Size, Risk, and Governance in European Banking Jens Hagendorff
Libristo code: 04535009
Publishers Oxford University Press, September 2013
The financial crisis that erupted in 2007 has brought the issues of the size, risk, and regulation o... Full description
? points 388 b
163.98 včetně DPH
50 % chance We search the world When will I receive my book?
Austria Delivery to Austria

30-day return policy


You might also be interested in


TOP
Knife Drop Author Nick DiGiovanni / Hardback
common.buy 27.07
TOP SALE
Essential Ananda K. Coomaraswamy Ananda K. Coomaraswamy / Paperback
common.buy 16.58
Mythos Illustrated Stephen Fry / Hardback
common.buy 30.92
Reviews Oscar Wilde / Paperback
common.buy 27.18
xXx Tim Waggoner / Paperback
common.buy 10.05
How to Talk to Anyone / Paperback
common.buy 18.51
Mrs Rochester Hilary Bailey / Paperback
common.buy 20.54
Crystal Den Marion Baraitser / Paperback
common.buy 17.54
Being Honest Cassie Mayer / Paperback
common.buy 5.77

The financial crisis that erupted in 2007 has brought the issues of the size, risk, and regulation of banks to the attention of a wide audience. It is difficult to open a broadsheet newspaper or a business magazine without being confronted with some aspect of bank behaviour, be it their risk levels, bankers' excessive rewards, the intertwining of bank and sovereign risk, or how they should be regulated to avoid problems in the future. In Europe, the recent and on-going crisis has demonstrated that the European Union (EU) was institutionally ill-prepared to manage a financial crisis, especially one involving large cross-border institutions which are systemically important to a number of countries. This book aims at integrating and synthesizing the various perspectives on the size, risk, and governance of banking as applied to the European markets, providing fresh insights and new analysis of the empirical data. The book is divided into three main sections. The first provides an overview of how the size of banking firms affects stability in the European banking sector, reviewing the quantitative empirical literature and offering new insights as to whether bank size motivates risk-taking where explicit or implicit 'too-big-to fail' policies shield bank creditors from market discipline. The next section discusses the debates relating to each of the different elements of risk in European banking, including new insights from a large dataset of European bank risk in different institutional contexts. The third section focuses on regulation, board monitoring, and opacity in European banking, employing a unique and hand collected dataset on the governance of European banks, as well as data on U.S. banks as a benchmark. The final chapter critically reviews the new insights gained from the chapters above, while offering policy implications as regards the role of size, risk and governance in European banking.

Give this book today
It's easy
1 Add to cart and choose Deliver as present at the checkout 2 We'll send you a voucher 3 The book will arrive at the recipient's address

Login

Log in to your account. Don't have a Libristo account? Create one now!

 
mandatory
mandatory

Don’t have an account? Discover the benefits of having a Libristo account!

With a Libristo account, you'll have everything under control.

Create a Libristo account