1.

Record Nr.

UNINA9910793141103321

Titolo

Banking and finance issues in emerging markets / / edited by William A. Barnett and Bruno S. Sergi

Pubbl/distr/stampa

Bingley, UK : , : Emerald Publishing, , 2018

ISBN

1-78756-453-3

1-78756-455-X

Descrizione fisica

1 online resource (322 pages)

Collana

International symposia in economic theory and econometrics, , 1571-0386 ; ; volume 25

Disciplina

332.1

Soggetti

Banks and banking

Bank management

Financial services industry

Business & Economics - Finance - General

Finance

Lingua di pubblicazione

Inglese

Formato

Materiale a stampa

Livello bibliografico

Monografia

Note generali

Includes index.

Nota di contenuto

Prelims -- Introduction -- ASEAN-5 economic and exchange rate integration -- The macroeconomic effects of RMB internationalization: the perspective of overseas circulation -- Dynamic connectedness in emerging Asian equity markets -- Stock market contagion from a spatial perspective -- Deposit rate asymmetry and edgeworth cycles after Hong Kong's interest rate deregulation -- India's bad loan conundrum: recurrent concern for banking system stability and the way forward -- An international perspective on the loan puzzle in emerging markets -- Is Japanese Regional banks' overseas business in emerging markets hopeful?: an observation through X-means clustering -- A paradigm shift in banking: unfolding Asia's FinTech adventures -- Acceptance of financial technology in Thailand: case study of algorithm trading -- Financial innovation and technology firms: a smart new world with machines -- Index.

Sommario/riassunto

The banking and finance sectors are relevant shares of modern economies and indeed drivers of growth in emerging economies. The majority of existing economic and finance textbooks focus on concepts



and theories with briefly exposited real-world examples for illustration. This book, which collects chapters that are the contributions of the acknowledged experts in their fields, fills this gap by featuring in-depth analyses on prominent real-world topics in banking and finance. The book's applications of econometrics present insightful perspectives on the recent development of banking issues, stock market contagion, the impact of internet technology (IT) on stock markets, financial innovation and technology firms, and an international perspective on the loan puzzle and interest rate adjustment in emerging markets. In addition to exhaustive case studies on banking and finance in India, Hong Kong, Japan, and other Asian emerging markets, the authors coherently contribute an intellectual advancement of contemporary issues in banking and finance literature.  The authors offer an essential reading and source of reference for postgraduate and advanced undergraduate courses in economics and finance.