1.

Record Nr.

UNINA9910490739303321

Titolo

River basin management : sustainability issues and planning strategies / / edited by  José Simão Antunes Do Carmo

Pubbl/distr/stampa

London, England : , : IntechOpen, , [2021]

©2021

ISBN

1-83968-131-4

Descrizione fisica

1 online resource (210 pages) : illustrations

Disciplina

333.91

Soggetti

Watershed management

Lingua di pubblicazione

Inglese

Formato

Materiale a stampa

Livello bibliografico

Monografia

Nota di bibliografia

Includes bibliographical references.

2.

Record Nr.

UNINA9910953766503321

Titolo

Emerging market finance : new challenges and opportunities / / edited by Bang Nam Jeon (Drexel University, USA) and Ji Wu (Southwestern University of Finance and Economics, China)

Pubbl/distr/stampa

Bingley, England : , : Emerald Publishing, , [2020]

©2020

ISBN

9781839820588

1839820586

9781839820601

1839820608

Edizione

[First edition]

Descrizione fisica

1 online resource (296 pages)

Collana

International finance review ; ; 21

Disciplina

332.091724

Soggetti

International finance

Business & Economics - International - Economics

Lingua di pubblicazione

Inglese

Formato

Materiale a stampa

Livello bibliografico

Monografia



Note generali

Includes index.

Nota di bibliografia

Includes bibliographical references.

Nota di contenuto

Part I : An Overview -- Chapter 1: Emerging Market Finance: New Challenges and Opportunities -- Part II : Global Banking Activity, Risk, and Contagion -- Chapter 2: Do Foreign Bank Branches Affect Lending of Foreign- and State-owned Banks? Empirical Evidence from CESEE Countries -- Chapter 3: Nonperforming Loans in Asia: Determinants and Macrofinancial Linkages -- Chapter 4: Corporate Default Risk and Loan Pricing Behavior in China -- Chapter 5: Chinese Banks in Russia: Market Expansion Strategies and New Opportunities -- Chapter 6: Global Shock and Foreign Bank Lending: Choice of Home and Local Currency Loans in Indonesia -- Chapter 7: Spillover Effects of Global MonetaRy Shocks on Foreign Banks: Evidence from an Emerging Economy -- Part III : Stock Market Behavior in Emerging Economies -- Chapter 8: Global Stock Market Prices Response to Uncertainty Changes in US Monetary and Fiscal Policies -- Chapter 9: The Asymmetry Effect and Volatility Persistence in Stock Market Returns: Evidence from Brazil, China, Mexico and Turkey -- Chapter 10: Tests of Multifactor Asset Pricing Models in Asian Stock Markets -- Chapter 11: Tunisian Revolution and Herd Behavior: Empirical Evidence from the Tunisia Stock Exchange -- Part IV : Global financing for firms and financial inclusion -- Chapter 12: A Theory of Domestic and International Trade Finance -- Chapter 13: The Impact of CEO and Firm-Specific Characteristics on Capital Structure: Evidence from Romanian Firms -- Chapter 14: Optimal Financial Inclusion -- Chapter 15: Social Inclusion and Sustainable Economic Development: Evidence from EU Economies -- Index.

Sommario/riassunto

Emerging economies have faced new challenges and opportunities in banking and finance in the post-crisis era under increasing uncertainty. This edited volume of International Finance Review contains original papers that examine rising challenges facing emerging financial markets and institutions. It covers issues such as global banking, risk and contagion, stock market behaviour, global financing for firms, and financial inclusion in the major emerging economies. Particular emphasis on banking is given to the impact of foreign banks on lending by domestic banks, bank loan pricing behaviour with corporate default risk, determinants of nonperforming loans and their macrofinancial implications, foreign bank activities of emerging market entry, international financial shock transmission through the foreign bank lending channel via internal capital markets, and spillover effects of global monetary shocks from an advanced to an emerging economy. Additional emphasis on stock market behaviour and financing is given to emerging stock markets under policy uncertainty from advanced economies, extended multifactor models for emerging stock markets, asymmetric volatility and herd behaviour in geopolitical crises, trade financing as an important cause of the recent trade collapse, determinants of capital structure, and social and financial inclusion in the major emerging markets. This volume also provides significant insight and important policy implications for market participants, researchers, and policy makers in emerging market finance.