Contemporary Financial Intermediation
Academic Press Inc (Verlag)
978-0-12-405208-6 (ISBN)
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Stuart Greenbaum is a leading authority on banks. Formerly dean of the John M. Olin School of Business at Washington University in St. Louis, he spent twenty years at the Kellogg Graduate School of Management at Northwestern University, where he was the Director of the Banking Research Center and the Norman Strunk Distinguished Professor of Financial Institutions. Three times he was appointed to the Federal Savings and Loan Advisory Council and was twice officially commended for extraordinary public service. He is founding editor of the Journal of Financial Intermediation. As the John E. Simon Professor of Finance and Senior Associate Dean of Programs at the Olin School of Business, Washington University, St. Louis, Anjan Thakor works in both academia and the business world. Prior to joining the Olin School, he was Edward J. Frey Professor of Banking and Finance at the Ross School of Business, University of Michigan, where he also served as chairman of the Finance area. He has worked with many companies, including Whirlpool Corporation, Allision Engine Co., Citigroup, RR Donnelley, Dana Corporation, Anheuser-Busch, Zenith Corporation, Lincoln National Corporation, and J.P. Morgan. Arnoud Boot is professor of Corporate Finance and Financial Markets at the University of Amsterdam and chairman of the European Finance Association (EFA). He is chairman of the Bank Council of the Dutch Central Bank (DNB), member of the Scientific Council for Government Policy (WRR) and member of the Royal Netherlands Academy of Arts and Sciences (KNAW). He is also a research fellow at the Centre for Economic Policy Research (CEPR) in London. Prior to his current positions, he was a member of the Inaugural Advisory Committee of the European Systemic Risk Board (ESRB), partner in the Finance and Strategy Practice at McKinsey & Co. and a faculty member at the J.L. Kellogg Graduate School of Management at Northwestern University in Chicago. He was also Bertil Danielsson Visiting Professor at the Stockholm School of Economics and Olin Fellow at Cornell University. He is the past chairman of the Royal Netherlands Economics Association. In addition to his academic activities, Arnoud Boot advises extensively on ownership structure issues, particularly related to the public/private domain, and is consultant to several financial institutions and corporations. He is a non-executive director of several corporations and agencies. His research focuses on corporate finance and financial institutions. His publications have appeared in major academic journals, such as the Journal of Finance, American Economic Review, Review of Financial Studies, and the Journal of Financial Intermediation.
Part I. The Background Chapter 1. Basic Concepts
Part II. What is Financial Intermediation? Chapter 2. The Nature and Variety of Financial IntermediationChapter 3. The What, How, and Why of Financial Intermediaries
Part III. Identification and Management of Major Banking Risks Chapter 4. Bank RisksChapter 5. Interest Rate RiskChapter 6. Liquidity Risk
Part IV. “On Balance Sheet Banking Activities Chapter 7. Spot Lending and Credit RiskChapter 8. Further Issues in Bank LendinChapter 9. Special Topics in Credit: Syndicated Loans, Loan Sales, and Project Finance
Part V. Off the Bank’s Balance Sheet Chapter 10. Off-Balance Sheet Banking and Contingent Claims ProductsChapter 11. Securitization
Part VI. The Funding of the Bank Chapter 12. The Deposit Contract, Deposit Insurance, and Shadow BankingChapter 13. Bank Capital Structure
Part VII. Financial Crises Chapter 14. The 2007–2009 Financial Crisis and Other Financial Crises
Part VIII. Bank Regulation Chapter 15. Objectives of Bank RegulationChapter 16. Milestones in Banking Legislation and Regulatory Reform
Part IX. Financial Innovation Chapter 17. The Evolution of Banks and Markets and the Role of Financial Innovation
Part X. The Future Chapter 18. The Future
| Erscheinungsdatum | 26.04.2019 |
|---|---|
| Verlagsort | San Diego |
| Sprache | englisch |
| Maße | 216 x 276 mm |
| Gewicht | 1560 g |
| Themenwelt | Wirtschaft ► Betriebswirtschaft / Management ► Finanzierung |
| Betriebswirtschaft / Management ► Spezielle Betriebswirtschaftslehre ► Bankbetriebslehre | |
| ISBN-10 | 0-12-405208-8 / 0124052088 |
| ISBN-13 | 978-0-12-405208-6 / 9780124052086 |
| Zustand | Neuware |
| Informationen gemäß Produktsicherheitsverordnung (GPSR) | |
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