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Record Nr. |
UNINA9910255054803321 |
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Titolo |
Finance in Central and Southeastern Europe / / edited by Srećko Goić, Anastasios Karasavvoglou, Persefoni Polychronidou |
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Pubbl/distr/stampa |
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Cham : , : Springer International Publishing : , : Imprint : Springer, , 2017 |
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ISBN |
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Edizione |
[1st ed. 2017.] |
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Descrizione fisica |
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1 online resource (XIV, 171 p. 27 illus., 13 illus. in color.) |
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Collana |
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Contributions to Economics, , 1431-1933 |
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Disciplina |
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Soggetti |
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Banks and banking |
Macroeconomics |
Business enterprises—Finance |
Economic development projects—Finance |
Insurance |
Capital market |
Banking |
Macroeconomics/Monetary Economics//Financial Economics |
Business Finance |
Development Finance |
Capital Markets |
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Lingua di pubblicazione |
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Formato |
Materiale a stampa |
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Livello bibliografico |
Monografia |
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Nota di bibliografia |
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Includes bibliographical references at the end of each chapters. |
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Nota di contenuto |
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Is monetary policy really forward-looking? The case of the Czech Republic, Poland and Hungary -- A study of the possible consequences in the event of an accelerated issuance and widespread use of private e-money - A case study of Montenegro -- What drives a local currency away from banking markets? Some Southeast Europe insights -- Exposure to exchange rate risk and competitiveness: An application to South-Eastern Europe -- Cointegration analysis of non-performing loans and macroeconomic conditions -- Explaining CSR performance with contextual factors: focus on development banks -- Interdependence between indicators used for identifying impending bankruptcy and selected indicators -- Credit risk and bank profitability - case of Croatia -- New role of mutual insurers on the insurance |
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market -- Delistings from the athens stock exchange – recent evolutions. . |
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Sommario/riassunto |
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This book describes specific problems and proposes solutions for different areas of finance in Central and Southeastern European countries. Covering a broad spectrum of topics, from monetary economics and electronic money to capital markets, banking and insurance, it comprises theoretical and empirical contributions by authors from nine countries - Poland, Slovakia, Croatia, Bosnia and Herzegovina, Romania, Bulgaria, Montenegro, Serbia and Greece. Intended for academics as well as policy makers and practitioners it offers new perspectives on Central and Southeastern European finance research. |
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