ABSTRACT
In this book leading financial professionals and academics examine the prospects for the European single currency. The impact of the Euro is assessed in terms of risks and opportunities for financial intermediaries, challenges for monetary and supervisory authorities and issues for portfolio management and corporate finance.
TABLE OF CONTENTS
part |56 pages
Keynote speeches
part |109 pages
Risks and opportunities for commercial banks and other financial intermediaries
chapter 8|28 pages
Are financial conglomerates and universal banks efficient?
Evidence from European banking
part |89 pages
Challenges to monetary and supervisory authorities
part |127 pages
Issues for portfolio management and corporate finance