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Coping with risk in transnational financial markets / / David K. A. Mordecai [and thirteen others]



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Titolo: Coping with risk in transnational financial markets / / David K. A. Mordecai [and thirteen others] Visualizza cluster
Pubblicazione: [Bradford, England] : , : Emerald, , 2015
©2015
Descrizione fisica: 1 online resource (161 p.)
Disciplina: 657.96
Soggetto topico: International business enterprises - Accounting
International business enterprises
Persona (resp. second.): MordecaiDavid K. A.
Note generali: Description based upon print version of record.
Nota di bibliografia: Includes bibliographical references at the end of each chapters.
Nota di contenuto: Cover; EDITORIAL ADVISORY BOARD; Editorial; Location of banks and their credit ratings; Big is beautiful: the information content of bank rating changes; Rating sovereign debt in a monetary union - original sin by transnational governance; Financial regulation, collective cognition, and nation state crisis management; Heterogeneous investors and trading platforms competition; Sustainability vs credibility of fiscal consolidation; Does compliance with the German Corporate Governance Code pay off?
Sommario/riassunto: Modern societies are increasingly formed by social, economic and legal relations that dissolve the traditional boundaries of nation states. Transnational firms and other cross-border organizations and networks develop new modes of cooperation, thereby setting new standards of governance. At the same time, markets - in particular financial markets - have more and more outgrown systems of national regulation, and time and again a crisis illustrates the need to improve international policy coordination, and to develop more elaborate ways of coping with the risks that arise. This special ebook
Titolo autorizzato: Coping with risk in transnational financial markets  Visualizza cluster
ISBN: 1-78560-453-8
Formato: Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione: Inglese
Record Nr.: 9910807885403321
Lo trovi qui: Univ. Federico II
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Serie: The Journal of Risk Finance: Volume 16, Issue 3