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Статті в журналах з теми "3502 Banking, finance and investment"
Ellis, Katrina, Roni Michaely, and Maureen O’Hara. "Competition in investment banking." Review of Development Finance 1, no. 1 (January 2011): 28–46. http://dx.doi.org/10.1016/j.rdf.2010.10.004.
Повний текст джерелаDegl'Innocenti, Marta, Franco Fiordelisi, Claudia Girardone, and Nemanja Radić. "Competition and risk‐taking in investment banking." Financial Markets, Institutions & Instruments 28, no. 2 (March 5, 2019): 241–60. http://dx.doi.org/10.1111/fmii.12113.
Повний текст джерелаGrullon, Gustavo, Shane Underwood, and James P. Weston. "Comovement and investment banking networks." Journal of Financial Economics 113, no. 1 (July 2014): 73–89. http://dx.doi.org/10.1016/j.jfineco.2014.02.010.
Повний текст джерелаBerzins, Janis, Crocker H. Liu, and Charles Trzcinka. "Asset management and investment banking." Journal of Financial Economics 110, no. 1 (October 2013): 215–31. http://dx.doi.org/10.1016/j.jfineco.2013.05.001.
Повний текст джерелаO'BRIEN, PATRICIA C., MAUREEN F. MCNICHOLS, and LIN HSIOU-WEI. "Analyst Impartiality and Investment Banking Relationships." Journal of Accounting Research 43, no. 4 (September 2005): 623–50. http://dx.doi.org/10.1111/j.1475-679x.2005.00184.x.
Повний текст джерелаOrdoñez, Guillermo. "Sustainable Shadow Banking." American Economic Journal: Macroeconomics 10, no. 1 (January 1, 2018): 33–56. http://dx.doi.org/10.1257/mac.20150346.
Повний текст джерелаUrban, Michael, and Dariusz Wójcik. "Dirty Banking: Probing the Gap in Sustainable Finance." Sustainability 11, no. 6 (March 22, 2019): 1745. http://dx.doi.org/10.3390/su11061745.
Повний текст джерелаRioja, Felix, Fernando Rios-Avila, and Neven Valev. "The persistent effect of banking crises on investment and the role of financial markets." Journal of Financial Economic Policy 6, no. 1 (April 1, 2014): 64–77. http://dx.doi.org/10.1108/jfep-08-2013-0035.
Повний текст джерелаIbrahim, Mansor H., and M. Shahid Ebrahim. "Islamic Banking and Finance: Beyond Comparison and Investment Opportunities." Pacific-Basin Finance Journal 52 (December 2018): 1–4. http://dx.doi.org/10.1016/j.pacfin.2018.11.006.
Повний текст джерелаPantos, Themis D. "EU Banking Directives: risk and wealth effects on the Greek financial sector." Journal of Risk Finance 9, no. 1 (January 4, 2008): 9–19. http://dx.doi.org/10.1108/15265940810842384.
Повний текст джерелаДисертації з теми "3502 Banking, finance and investment"
Huang, Zhangkai. "Finance, investment and monetary policy." Thesis, University of Oxford, 2002. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.270515.
Повний текст джерелаHuang, Xian Qi. "The development of investment banking in China." Thesis, University of Macau, 1999. http://umaclib3.umac.mo/record=b1636228.
Повний текст джерелаNicolas, Théo. "Essays on SME finance and banking." Thesis, Paris 1, 2018. http://www.theses.fr/2018PA01E049.
Повний текст джерелаRepresenting a clear driver for growth and employment, small and medium sized enterprises (SMEs) have gained considerable attention in the aftermath of the Great Recession. In this thesis, I both examine the determinants and consequences of SMEs financial constraints in order to identify the most appropriate types of bank financing for their situations. The first chapter analyzes the effects of trading bank business models on SME finance and shows that trading banks increase both short term credit constraints and funding costs. Importantly, the negative impact of trading-banks on short term credit availability is even stronger for banks with higher capital and derivatives.The second chapter deals with the beneficial effect of relationship lending for SMEs. Following the literature that has investigated the countercyclical effect of relationship lending on interest rates, we show that relationship lenders charge higher rates in good times and lower rates in bad times. However, we include single-banked firms in the scope and find that this insurance mechanism depends on the firm ability to diversify its borrowing.The third chapter focuses on the real effects of financial constraints. While the literature examining the effects of financial constraints on firms’ investment has traditionally ignored loan maturity, my results emphasize the importance of short-term finance for SMEs through the working capital channel. The real effect of short term financial constraints arises when firms with opportunities to invest may be blocked from doing so because rationing may force them to allocate additional cash-flow to finance their working capital needs
Cook, Audrey Ciceley Heloise. "A study of identity formation in the London investment banking sector." Thesis, University of Warwick, 2008. http://wrap.warwick.ac.uk/1947/.
Повний текст джерелаWenzel, Jens. "Rechtsfragen internationaler Konsortialkreditverträge : deutsches und englisches Recht /." Baden-Baden : Nomos [u.a.], 2006. http://www.gbv.de/dms/spk/sbb/recht/toc/516807250.pdf.
Повний текст джерелаNahhas, Abdulkader. "Essays in international finance and banking." Thesis, Brunel University, 2016. http://bura.brunel.ac.uk/handle/2438/13160.
Повний текст джерелаDobra-Kiel, Alexandra. "Emotions and behavioural ethics : the case of asset management and investment banking." Thesis, University of Warwick, 2017. http://wrap.warwick.ac.uk/102075/.
Повний текст джерелаFan, Weiwei. "Household savings, relationship banking, and urbanization : three essays in economic development and finance /." View Abstract or Full-Text, 2003. http://library.ust.hk/cgi/db/thesis.pl?ECON%202003%20FAN.
Повний текст джерелаPakhomova, Nataliya. "Essays in banking and corporate finance." Thesis, Aix-Marseille, 2013. http://www.theses.fr/2013AIXM1090.
Повний текст джерелаThis dissertation consists of 3 self-contained theoretical essays.Essay 1 brings into focus the problem of "manufacturing" tail risk in the banking sector. This work shows that, in order to prevent banks from engaging in tail risk, bank capital regulation should account for the internal agency problem between bank shareholders and bank top managers. It is proposed to design bank capital requirements in the form of incentive-based recapitalization mechanism which would induce bank shareholders to shape executive compensation in such a way as to prevent top managers from engaging in tail-risk.Essay 2 deals with the problem of moral hazard in bank asset management. It proposes the concept of incentive-based bank supervision aimed at preventing moral hazard at a minimum cost to the regulator. It is shown that the intensity of supervision efforts should be gradually adjusted to the bank's financial health: banks in the mild form of distress should be subject to random audits, whereas deeply distressed banks should be placed under temporary regulatory control. To prevent double moral hazard, external auditors involved in supervision should be offered the optimal incentive contract.Essay 3 examines the impact of credit rationing (debt capacity) on corporate investment in the setting with costly debt financing. It is shown that, when credit constraints are binding, the firms with intermediate levels of debt capacity will establish larger investment projects than the firms with relatively low or high debt capacity. This non-monotonicity of investment on debt capacity arises due to the effect of the lump-sum debt issuance costs in the dynamic context of investment
Hrouda, Jiří. "Leveraged acquisition finance." Master's thesis, Vysoká škola ekonomická v Praze, 2010. http://www.nusl.cz/ntk/nusl-74068.
Повний текст джерелаКниги з теми "3502 Banking, finance and investment"
Edwards, Jeremy. Banks, finance and investment in West Germany since 1970. London: Centre for Economic Policy Research, 1991.
Знайти повний текст джерелаBanks, Erik. The Palgrave Macmillan Dictionary of Finance, Investment and Banking. London: Palgrave Macmillan UK, 2010. http://dx.doi.org/10.1057/9780230251212.
Повний текст джерелаEngel, Dirk. Investment, internal funds and public banking in Germany. Bochum: RWI, 2007.
Знайти повний текст джерелаEngel, Dirk. Investment, internal funds and public banking in Germany. Bochum: RWI, 2007.
Знайти повний текст джерелаTrade, investment, and competition in international banking. New York: Palgrave Macmillan, 2005.
Знайти повний текст джерелаInvestment banking and investment opportunities in China: A comprehensive guide for finance professionals. Hoboken, N.J: John Wiley & Sons, 2007.
Знайти повний текст джерелаIslamic finance: A guide for international business and investment. London: GMB Pub., 2008.
Знайти повний текст джерелаAnand, Bharat Narendra. Investment banking and security market development: Does finance follow industry? [Washington, D.C.]: International Monetary Fund, IMF Institute, 2001.
Знайти повний текст джерелаKapor, Predrag. Komercijalno i investiciono bankarstvo. Beograd: Poslovni biro, 2008.
Знайти повний текст джерелаЧастини книг з теми "3502 Banking, finance and investment"
Achleitner, Ann-Kristin. "Corporate Finance." In Handbuch Investment Banking, 239–353. Wiesbaden: Gabler Verlag, 2002. http://dx.doi.org/10.1007/978-3-663-10259-5_5.
Повний текст джерелаAchleitner, Ann-Kristin. "Structured Finance." In Handbuch Investment Banking, 417–71. Wiesbaden: Gabler Verlag, 2002. http://dx.doi.org/10.1007/978-3-663-10259-5_7.
Повний текст джерелаAchleitner, Ann-Kristin. "Corporate Finance." In Handbuch Investment Banking, 231–342. Wiesbaden: Gabler Verlag, 1999. http://dx.doi.org/10.1007/978-3-322-99636-7_5.
Повний текст джерелаHasan, Zubair. "Investment sukuk." In Islamic Banking and Finance, 75–90. 2nd ed. London: Routledge India, 2022. http://dx.doi.org/10.4324/9781003366973-7.
Повний текст джерелаKeiding, Hans. "Investment Banking and Corporate Finance." In Economics of Banking, 174–99. London: Macmillan Education UK, 2016. http://dx.doi.org/10.1007/978-1-137-45305-1_9.
Повний текст джерелаDhankar, Raj S. "Islamic Banking and Finance." In Capital Markets and Investment Decision Making, 263–77. New Delhi: Springer India, 2019. http://dx.doi.org/10.1007/978-81-322-3748-8_16.
Повний текст джерелаOshikoya, Temitope W., and Kehinde Durosinmi-Etti. "Real estate finance." In Frontier Capital Markets and Investment Banking, 214–30. 1 Edition. | New York : Routledge, 2019. | Series: Banking, money and international finance: Routledge, 2019. http://dx.doi.org/10.4324/9780429200519-12.
Повний текст джерелаPeláez, Carlos M., and Carlos A. Peláez. "Investment Banking, Governance, Mergers, and Compensation." In Regulation of Banks and Finance, 117–56. London: Palgrave Macmillan UK, 2009. http://dx.doi.org/10.1057/9780230251250_5.
Повний текст джерелаRosen, Jonathan, Christian Kahl, Russell Goyder, and Mark Gibbs. "Computationally Expensive Problems in Investment Banking." In High-Performance Computing in Finance, 3–24. Boca Raton, FL : CRC Press, 2018.: Chapman and Hall/CRC, 2018. http://dx.doi.org/10.1201/9781315372006-1.
Повний текст джерелаOshikoya, Temitope W., and Kehinde Durosinmi-Etti. "Infrastructure and project finance." In Frontier Capital Markets and Investment Banking, 191–213. 1 Edition. | New York : Routledge, 2019. | Series: Banking, money and international finance: Routledge, 2019. http://dx.doi.org/10.4324/9780429200519-11.
Повний текст джерелаТези доповідей конференцій з теми "3502 Banking, finance and investment"
Konak, Fatih, and Hakan Turan. "Was the Turkish Financial Crisis in 2001 Caused by External or Internal Factors?" In International Conference on Eurasian Economies. Eurasian Economists Association, 2013. http://dx.doi.org/10.36880/c04.00724.
Повний текст джерелаYılmaz, Durmuş. "Global Economy and Turkey: 2016 and Beyond." In International Conference on Eurasian Economies. Eurasian Economists Association, 2016. http://dx.doi.org/10.36880/c07.01815.
Повний текст джерелаЗвіти організацій з теми "3502 Banking, finance and investment"
Vestergaard, Jakob. Monetary Policy for the Climate? A Money View Perspective on Green Central Banking. Institute for New Economic Thinking Working Paper Series, July 2022. http://dx.doi.org/10.36687/inetwp188.
Повний текст джерела