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Financial Markets: Imperfect Information and Risk Management Book

Financial Markets: Imperfect Information and Risk Management
Financial Markets: Imperfect Information and Risk Management, This book concentrates on one of the most important directions for research on banking and finance for the next decade: the problem of information and risk management. Recent theoretical and empirical contributions consider asymmetric information between , Financial Markets: Imperfect Information and Risk Management has a rating of 3 stars
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Financial Markets: Imperfect Information and Risk Management, This book concentrates on one of the most important directions for research on banking and finance for the next decade: the problem of information and risk management. Recent theoretical and empirical contributions consider asymmetric information between , Financial Markets: Imperfect Information and Risk Management
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  • Financial Markets: Imperfect Information and Risk Management
  • Written by author Mario Baldassarri
  • Published by Palgrave Macmillan, September 2001
  • This book concentrates on one of the most important directions for research on banking and finance for the next decade: the problem of information and risk management. Recent theoretical and empirical contributions consider asymmetric information between
  • This book concentrates on one of the most important directions for research on banking and finance for the next decade: the problem of information and risk management. Recent theoretical and empirical contributions consider asymmetric information betw
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Authors

Introduction--Michele Bagella, Mario Baldassarri & Luigi Paganetto
Part I: Imperfect Information, Financial Markets and Financial Intermediation: Empirical Analysis
Portfolio Choice and Competition in the Banking System--Gabriella Chiesa
Financial Constraints on Investments: Evidence from Direct Revelation of Italian Firms--Michele Bagella, Leonardo Becchetti & Andrea Caggese
Risk, Return and Adverse Selection: A Study of Optimal Behaviour Under Asymmetric Information--Leighton Vaughan Williams & David Paton
Investment and Economic Instability--Giorgio Calcagnini & Enrico Saltari
Part II: Risk Management, Banking System and Financial Markets
Measuring Credit Risk in Bank Loans: Pricing and Risk Management Implications--Pier Luigi Gilibert
A Model for Measuring Financial Risks--Emilio Barone & Antonio Braghò
Macroeconomic Effects of Corporate Macroeconomic Exposure: Conceptual Issues and Estimation--Clas Wihlborg
Part III: Money, Finance and Macroeconomics
Economic Growth and Evolution of Credit Market's Structre--Luca G. Deidda
Political and Economic News and Lira Fluctuations. The Recent Experience: 29 March 1994-29 December 1995--Massimo Tivegna
Size and Regional Aspects of Banking Efficiency: The Italian Puzzle--Adriano Giannola, Claudio Ricci & Gennaro Scarfiglieri
A Non-Parametric Analysis of the Italian Banking System's Efficiency--Sergio Destefanis
Challenge in Competitive Banking: A Theoretical Perspective--Arnoud W.A. Boot & Anjolein Schmeits


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Financial Markets: Imperfect Information and Risk Management, This book concentrates on one of the most important directions for research on banking and finance for the next decade: the problem of information and risk management. Recent theoretical and empirical contributions consider asymmetric information between , Financial Markets: Imperfect Information and Risk Management

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Financial Markets: Imperfect Information and Risk Management, This book concentrates on one of the most important directions for research on banking and finance for the next decade: the problem of information and risk management. Recent theoretical and empirical contributions consider asymmetric information between , Financial Markets: Imperfect Information and Risk Management

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Financial Markets: Imperfect Information and Risk Management, This book concentrates on one of the most important directions for research on banking and finance for the next decade: the problem of information and risk management. Recent theoretical and empirical contributions consider asymmetric information between , Financial Markets: Imperfect Information and Risk Management

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