Nova Publishers
My Account Nova Publishers Shopping Cart
HomeBooksSeriesJournalsReference CollectionseBooksInformationSalesImprintsFor Authors
            
  Top » Catalog » Books » Business and Finance » My Account  |  Cart Contents  |  Checkout   
Quick Find
  
Use keywords to find the product you are looking for.
Advanced Search
What's New? more
Theory of Literature
$270.00
Shopping Cart more
0 items
Information
Shipping & Returns
Privacy Notice
Conditions of Use
Contact Us
Bestsellers
01.Cleaner Technologies: Environmental Management Accounting, Investment Appraisal and Financing
02.Business Ethics in Focus
03.Nonlinear Models in Mathematical Finance: New Research Trends in Option Pricing
04.The North American Beef Industry in Transition: New Consumer Demands and Supply Chain Responses
05.Joint Ventures, Mergers and Acquisitions, and Capital Flow
06.New Business and Finance Research Developments
07.Financial Institutions and Services
08.Tourism Development: Economics, Management and Strategy
09.Consumer Behavior
10.Global Banking Issues
Notifications more
NotificationsNotify me of updates to Finance and Banking Developments
Tell A Friend
 
Tell someone you know about this product.
Finance and Banking Developments
Retail Price: $265.00
10% Online Discount
You Pay:

$238.50
Editors: Charles V. Karsone
Book Description:
This book presents original research results on the leading edge of finance and banking research. Each article has been carefully selected in an attempt to present substantial research results across a broad spectrum.

We’ve partnered with Copyright Clearance Center to make it easy for you to request permissions to reuse Nova content.
For more information, click here or click the "Get Permission" button below to link directly to this book on Copyright Clearance Center's website.


Table of Contents:
Preface

Credit Rating Modelling by Neural Networks;pp. 1-42
(Peter Hajek, Institute of System Engineering and Informatics, Faculty of Economics and Administration, University of Pardubice, Pardubice, Czech Republic)

Sticky Credit Spreads, Macroeconomic Activity and Equity Market Volatility;pp. 43-74
(Yan Li, James M. Steeley, Paribas, Hong Kong, Aston Business School, Aston University, Birmingham, UK)

Profitability Determinants: An Empirical Study of Portuguese SMEs;pp. 75-97
(Zélia Serrasqueiro, Assistant Professor of Management and Economics Department, Beira Interior University and Researcher of CEFAGE- Évora University, Covilhă, Portugal, and others)

Derivatives and Debt: The Market as God and Marketing as Proselytizin;pp. 99-117
(Niccolo Caldararo, Dept. of Anthropology, San Francisco State University, San Francisco, California)

Assessing Household Vulnerability to Climate Change: The case of farmers in the Nile Basin of Ethiopia;pp. 119-136
(T.T. Deressa, R.M. Hassan, R. Claudia, Center for Environmental Economics and Policy in Africa, University of Pretoria, South Africa, and others)

The Effects of Asymmetric Volatility Shocks on Equity and Foreign Exchange Rate Interactions;pp. 137-157
(Thomas J. Flavin, Ekaterini Panopoulou, Theologos Pantelidis, Deren Unalmis, Nacional University of Ireland, Maynooth, Ireland, and others)

Banking Regulation and Procyclicality – Cross-Country Analysis in EMU;pp. 159-168
(Tamás Isepy, University of Pannonia, Faculty of Economics, Department of International Economics, Veszprém, Hungary)

Can a Financial Information Distortion Event Facilitate a Revision in the Independent Directors Institution;pp. 169-177
(Cheng Xin-Sheng, Li Hai-ping, Luo Yan-Mei, Business School Of Nankai University, Center for Corporate Governance Research, Tianjin, China)

Managerial Methods to Control Derivatives Losses;pp. 179-184
(Patrick L. Leoni, Euromed Management)

Asymptotic Expansion Approaches in Finance: Applications to Currency Option;pp. 185-232
(Akihiko Takahashi, Kohta Takehara, Research Fellow of the Japan Society for the Promotion of Science, Graduate School of Economics, the University of Tokyo, Japan)

An Analysis of the Determinants of Credit Default Swap Spread Changes before and during the Financial Turmoil;pp. 233-265
(Antonio Di Cesare, Giovanni Guazzarotti, Bank of Italy, Roma, Italy)

The Expenses Problem of Personal Financial Planning;pp. 267-288
(Oliver Braun, Marco Spohn, Universit of Applied Sciences, Trier, Germany)

The Subprime Mortgage Crisis and its Connections with Bank Bailouts;pp. 289-332
(M.A. Petersen, M.C. Senosi, J. Mukuddem-Petersen, B. de Waal, S. Thomas, North-West University, Potchefstroom, South Africa)

Index

   Series:
      Banks and Banking Developments
   Binding: Hardcover
   Pub. Date: 2011
   Pages: 7 x 10, 342 pp.
   ISBN: 978-1-60876-329-0
   Status: AV
  
Status Code Description
AN Announcing
FM Formatting
PP Page Proofs
FP Final Production
EP Editorial Production
PR At Prepress
AP At Press
AV Available
  
Customers who bought this product also purchased
Geomorphology: Processes, Taxonomy and Applications
Geomorphology: Processes, Taxonomy and Applications
Special Focus Titles
01.Violent Communication and Bullying in Early Childhood Education
02.Cultural Considerations in Intervention with Women and Children Exposed to Intimate Partner Violence
03.Chronic Disease and Disability: The Pediatric Lung
04.Fruit and Vegetable Consumption and Health: New Research
05.Fire and the Sword: Understanding the Impact and Challenge of Organized Islamism. Volume 2

Nova Science Publishers
© Copyright 2004 - 2020

Finance and Banking Developments