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1

Bates, David S. Financial markets' assessment of EMU. National Bureau of Economic Research, 1999.

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2

Bank, European Central, ed. Report on financial structures. European Central Bank, 2002.

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3

Swadźba, Stanisław. System gospodarczy Unii Europejskiej a docelowy model polskiej gospodarki: Praca zbiorowa. Akademia Ekonomiczna im. Karola Adamieckiego, 2000.

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4

E, Fair Donald, Boissieu Christian de, Aglietta Michel, and Société universitaire européenne de recherches financières., eds. International monetary and financial integration: The European dimension. Kluwer Academic Publishers, 1988.

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5

Folkerts-Landau, D. F. I. The European Monetary System in the context of the integration of European financial markets. International Monetary Fund, 1989.

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6

Commission, European, ed. European Union public finance: The characteristics, rules, and operation of the European financial system. Office for Official Publications of the European Communities, 1995.

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7

Bank, European Central, ed. Report on financial structures. European Central Bank, 2002.

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8

Frankel, Jeffrey A. Financial and currency integration in the European monetary system: The statistical record. Center for German and European Studies, University of California, 1992.

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9

Demirer, Mustafa. Avrupa Kredi Transfer Sistemi (ECVET) bağlamı'nda Türkiye mesleki eğitimi'nin yeniden yapılandırılması: Bir model önerisi. Öğretmenim Dergisi Yayınları, 2019.

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10

International Monetary Fund. The European Monetary System in the Context of the integration of European Financial Markets: Occa Paper No.66. International Monetary Fund, 1989. http://dx.doi.org/10.5089/9781557751324.084.

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11

Henkow, Oskar. Financial activities in European VAT: A theoretical and legal research of the European VAT system and the actual and preferred treatment of financial activities. Kluwer Law International, 2008.

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12

Zhuang, Juzhong. Causes of the 1997 Asian finanical crisis: What can an early warning system model tell us? Asian Development Bank, 2002.

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13

Halushka, Andrij A. Bank-enterprise relations in the transitional economies: Choosing the model of financial system. Institut für Höhere Studien/Institute for Advanced Studies, 1995.

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14

Mooslechner, Peter. The transformation of the European financial system: Where do we go? where should we go? Oesterreiche Nationalbank, 2004.

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15

Eichengreen, Barry J. The EMS crisis in retrospect. National Bureau of Economic Research, 2000.

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16

Vitor, Gaspar, Hartmann Philipp, Sleijpen Olaf, and European Central Bank, eds. The transformation of the European financial system: Second ECB Central Banking Conference, October 2002, Frankfurt, Germany. European Central Bank, 2003.

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17

Tessier, Lou, and Olivier Louis Dit Guérin. What role can health mutuals and community-based health insurance play in social health protection systems? ILO, 2025. https://doi.org/10.54394/xusx6767.

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Social health protection systems are constantly evolving, offering a wide range of institutional, administrative, and financial arrangements. International standards in social health protection are outcome-based, and grant flexibility in the institutional and administrative arrangements chosen by each state to implement these guarantees, as long as certain fundamental principles are upheld. These principles include the establishment of state-guaranteed benefit entitlements, solidarity in financing, and broad risk pooling. The flagship Social Security (Minimum Standards) Convention, 1952 (No. 1
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18

Cobham, David. From the causes of the Europeanmonetary crises of 1992-93 to strategies for European monetary union. St. Salvator's College, 1995.

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19

1955-, Bergés Lobera Angel, and Fundación Banco Exterior (Madrid, Spain), eds. Banca y mercado financiero único: Ciclo de conferencias de la Fundación Banco Exterior, abril-junio 1991. La Fundación, 1992.

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20

Great Britain. Parliament. House of Commons. Treasury and Civil Service Committee. Thirteenth report from the Treasury and Civil Service Committee, session 1984-85: The financial and economic consequences of UK membership of the European Communities: the European monetary system. H.M.S.O., 1985.

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21

Buiter, Willem H. Financial markets and European monetary cooperation: The lessons of the 1992-93 exchange rate mechanism crisis. Cambridge University Press, 1998.

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22

Thye, Woo Wing, and Taeoe Kyŏngje Chŏngchʻaek Yŏnʾguwŏn (Korea), eds. Moving forward on the establishment of an effective surveillance system and an improved financial architecture for East Asia. Korea Institute for International Economic Policy, 2003.

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23

Banco Central de Reserva de El Salvador. and Seminario Regional sobre las Experiencias en la Integración de Sistemas Financieros (1992 : San Salvador, El Salvador), eds. Experiencias en la integración de sistemas financieros: Seminario. Banco Central de Reserva de El Salvador, 1993.

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24

TACAS 2010 (2010 Paphos, Cyprus). Tools and algorithms for the construction and analysis of systems: 16th international conference, TACAS 2010, held as part of the Joint European Conferences on Theory and Practice of Software, ETAPS 2010, Paphos, Cyprus, March 20-28, 2010 : proceedings. Springer, 2010.

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25

Kazakova, Nataliya. Financial security of the company. INFRA-M Academic Publishing LLC., 2023. http://dx.doi.org/10.12737/1908969.

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The textbook provides theoretical and practical training of business analysts on the financial security of companies. Considers the regulatory legal and methodological basis for the diagnosis of bankruptcy of organizations, as well as corporate fraud as a type of economic crimes; analytical tools for assessing the level of financial security based on a risk-oriented approach, the basics of building an internal financial security control system, including monitoring of the company's business processes affecting its financial security, as well as methods for assessing the risks of corporate frau
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26

Kang, Jin-A. The Guangdong Model and Taxation in China. Amsterdam University Press, 2022. http://dx.doi.org/10.5117/9789463729833.

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This book explores the formation, development, and characteristics of modern China's finance, focusing especially on Guangdong province as a case study to illustrate both the macro-level trends and the micro-level reality. The chronological range of this book is mainly from the late Qing period to the early Republican Era ending in 1937, when the full-scale Second Sino-Japanese War broke out. After the concept of modern finance was introduced to China for the first time in the late Qing period, the efforts to build modern finance continued in the Republican Era both nationally and locally. But
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27

Alekseev, Petr, Vladislav Antropov, Valeriy Barabanov, et al. The multi-currency standard and the global financial market. INFRA-M Academic Publishing LLC., 2022. http://dx.doi.org/10.12737/1871448.

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The monograph was prepared by a team of authors of the Financial University under the Government of the Russian Federation based on the results of research carried out at the expense of budgetary funds under the state assignment of the Financial University.
 The directions, forms and prospects of creating a multi-currency standard in the process of transformation of the world monetary and financial system are investigated. An integral model for assessing the sectoral development of the global financial market has been developed. The possibilities of adapting the Russian financial market t
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28

Egorshin, Aleksandr, Irina Gus'kova, Yuriy Eliseev, Nikolay Volgin, and Svyatoslav Masyutin. The Russian economy and the pension system for 30 years. INFRA-M Academic Publishing LLC., 2023. http://dx.doi.org/10.12737/1912459.

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The monograph is devoted to the Russian pension system. In the first section, the economic and social analysis of reforms in Russia over 30 years is carried out, the transformation of the economy and the replacement of the administrative economy with a market economy carried out in 1991-2000, the financial crisis and the rise of the Russian economy in 2001-2010 are considered. The sources of growth of the Russian economy and the economic strategy and the future of Russia under Western sanctions after 2022 are revealed.
 The second section examines the formation of the pension system of Ru
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29

Kazakova, Nataliya, and Lyudmila Permitina. Fundamentals of analysis of accounting (financial) statements of the company. INFRA-M Academic Publishing LLC., 2023. http://dx.doi.org/10.12737/1914230.

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The textbook discusses the basics of the analysis of accounting (financial) statements, including the disclosure of the features of the analysis of accounting indicators generated by RAS (FSBU) and IFRS; the basics of financial management as a set of tools and actions aimed at optimizing the financial model of the organization, providing an increase in the value of the company for shareholders and value for other stakeholders, as well as the rationale for decisions in areas of financial management. The theoretical material is accompanied by practical examples, control questions, tests and task
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30

Kazakova, Nataliya, Vera Kogdenko, and Thi Doan. Sustainable development analytics and stakeholder risk assessment in non-financial reporting. INFRA-M Academic Publishing LLC., 2023. http://dx.doi.org/10.12737/2076797.

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The monograph is devoted to the sectoral aspects of the analysis of sustainable development and the formation of non-financial reporting of public companies focused on the disclosure of stakeholder risks. It contains a large empirical base and covers four key areas: a risk-oriented concept of non-financial reporting; an algorithm for forming a standard model of industry non-financial reporting in the field of sustainable development; analytical tools for assessing the disclosure of risks associated with the company's activities in corporate (non-financial) reporting; industry analysis of the s
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31

Poletaeva, Vladislava. Financial mechanism for the formation of the economy of sustainable industrial growth. INFRA-M Academic Publishing LLC., 2021. http://dx.doi.org/10.12737/1347148.

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"The monograph is devoted to the development of a financial mechanism for the transformation of the national economic system from a relatively low growth rate and their significant instability of the export-raw materials model to a model of sustainable industrial growth.
 In the first chapter, the rationale is made for the feasibility (to solve the problem of forming an economy of sustainable industrial growth) of developing cooperation between the banking sector and the state in the field of financing the manufacturing industry based on the implementation of the interests of all key stak
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32

Caregorodcev, Anatoliy, Sergey Romanovskiy, and Sergey Volkov. Risk analysis in the processes of ensuring information security of the life cycle of financial automated information systems. INFRA-M Academic Publishing LLC., 2023. http://dx.doi.org/10.12737/2049718.

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One of the key elements of the development strategy of a modern organization is the solution of the task of transforming the information security risk management system. Today, more and more modern organizations are moving away from the maturity-based model in favor of a risk-based approach. The monograph examines this approach and provides recommendations for its application in credit and financial organizations.
 It may be of interest both for employees of departments whose activities are related to risk analysis and management, credit and financial organizations, and for teachers, stud
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33

Hassenteufel, Patrick, and Bruno Palier. The French Welfare System. Edited by Robert Elgie, Emiliano Grossman, and Amy G. Mazur. Oxford University Press, 2017. http://dx.doi.org/10.1093/oxfordhb/9780199669691.013.4.

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The French welfare system is usually classified as a case of a corporatist–conservative welfare regime because its main components clearly reflect the Bismarckian tradition of social insurance. The economic, social, and political functions of the French welfare system developed after 1945 explain the subsequent difficulties in transforming it following the economic crisis of the 1970s. We show that until the 1990s the main goal of welfare policies was the rescue of the French model based on financial measures. It is only since the end of the twentieth century that French social programs and in
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34

Hopkin, Jonathan. Anti-System Politics. Oxford University Press, 2020. http://dx.doi.org/10.1093/oso/9780190699765.001.0001.

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Recent elections in the advanced Western democracies have undermined the basic foundations of political systems that had previously beaten back all challenges—from both the Left and the Right. The election of Donald Trump to the US presidency, only months after the United Kingdom voted to leave the European Union, signaled a dramatic shift in the politics of the rich democracies. This book traces the evolution of this shift and argues that it is a long-term result of abandoning the postwar model of egalitarian capitalism in the 1970s. That shift entailed weakening the democratic process in fav
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35

European financial integration. Cambridge University Press, 1991.

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36

Díaz, Mikel Larreina. The Financial System. A European approach to Financial Institutions, Instruments & Markets. DesclÃe De Brouwer, 2017.

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37

Díaz, Mikel Larreina. The Financial System. A European approach to Financial Institutions, Instruments & Markets. DesclÃe De Brouwer, 2017.

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38

Stuart, Willey. Part V European Markets and Exchanges, 13 The European System of Financial Supervision. Oxford University Press, 2012. http://dx.doi.org/10.1093/law/9780199601653.003.0013.

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39

Staff, International Monetary Fund. European Monetary System in the Context of the Integration of European Financial Markets. International Monetary Fund, 1989.

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40

Staff, International Monetary Fund. European Monetary System in the Context of the Integration of European Financial Markets. International Monetary Fund, 1989.

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41

Report on financial structures. European Central Bank, 2002.

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42

Cardullo, Mario W., and Manhong Mannie Liu. An Alternative Analytic Model for the Global Financial System. WORLD SCIENTIFIC, 2013. http://dx.doi.org/10.1142/8951.

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43

(Editor), D. E. Fair, and C. de Boissieu (Editor), eds. International Monetary and Financial Integration: The European Dimension (Financial and Monetary Policy Studies). Springer, 1988.

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44

Menz, Georg. Welfare State Models. Oxford University Press, 2017. http://dx.doi.org/10.1093/oso/9780199579983.003.0007.

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The different models of welfare states are explored, drawing on the seminal work of Esping-Andersen. Next, we examine the challenges to welfare state systems arising from demographic change, new family formation patterns, immigration, and new trends in employment. Governments also struggle with the rising financial liabilities arising from pensions and healthcare. All of this has inspired liberalizing reforms across the OECD. To the political left, the European Union offered an unfulfilled opportunity for market reregulation. Reform measures in this domain are difficult to implement and often
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45

Great Britain. Parliament. House of Commons. Treasury and Civil Service Committee. The financial and economic consequences of UK membership ofthe European Communities: Memoranda on the European monetary system. 1985.

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46

Before and after the Economic Crisis: What Implications for the 'european Social Model'? Elgar Publishing, Incorporated, Edward, 2011.

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47

Before and After the Economic Crisis: What Implications for the 'European Social Model'? Edward Elgar, 2011.

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48

O'Sullivan, K. P. V., and S. Kinsella. Macroprudential Regulation and the Financial System: Lessons and Evidence from the European Union. Elgar Publishing Limited, Edward, 2018.

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49

Schiek, Dagmar. EU Social and Economic Model after the Global Crisis: Interdisciplinary Perspectives. Taylor & Francis Group, 2013.

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50

European Law Institute and UNIDROIT, eds. ELI – Unidroit Model European Rules of Civil Procedure. Oxford University Press, 2021. http://dx.doi.org/10.1093/oso/9780198866589.001.0001.

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This volume was developed as part of a cooperative project of the European Law Institute (ELI) and the International Institute for the Unification of Private Law (UNIDROIT), dealing with civil procedure law. The long-term project began in February of 2014 and ended in February of 2020, concluding in an ELI-UNIDROIT Instrument. The volume consists of the ELI-UNIDROIT Instrument on the European Rules of Civil Procedure, which features Rules and accompanying comments. It explores the diverse traditions in Europe concerning civil procedure law and aims to find a common thread in them. Therefore, i
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