ABSTRACT

The aim of this book is to bring academic work on contemporary issues in financial institutions and markets. The general theme is designed to allow for a wide range of topics covering the diverse nature of academic research in banking and finance. As a consequence the contributions cover a wide range of issues across a broad spectrum, including: bank business models, bank competition and stability, credit card pricing and risk; bank supervision; and international investments. This book was originally published as a special issue of The European Journal of Finance.

part |2 pages

Introduction: Emerging issues in financial institutions and markets

chapter |1 pages

Acknowledgements

chapter 3|9 pages

Data and methodology

chapter 4|7 pages

Results

chapter 5|1 pages

Conclusion

chapter |4 pages

Acknowledgements

chapter 2|3 pages

Model specification

chapter 3|4 pages

Model solution

chapter 4|3 pages

Numerical results

chapter 6|1 pages

Conclusion

chapter |1 pages

References

chapter |3 pages

Appendix 1

chapter 4|7 pages

Data

chapter 5|6 pages

Methods

chapter 7|2 pages

Final remarks

chapter |2 pages

References

chapter |2 pages

Appendix. Variable definitions.

chapter 3|2 pages

Data and methodology

chapter 4|13 pages

Empirical results

chapter 5|1 pages

Conclusions