top

  Info

  • Utilizzare la checkbox di selezione a fianco di ciascun documento per attivare le funzionalità di stampa, invio email, download nei formati disponibili del (i) record.

  Info

  • Utilizzare questo link per rimuovere la selezione effettuata.
The economics of Fintech / / Sahoko Kaji, Teruo Nakatsuma, Masahiro Fukuhara, editors
The economics of Fintech / / Sahoko Kaji, Teruo Nakatsuma, Masahiro Fukuhara, editors
Pubbl/distr/stampa Singapore : , : Springer, , [2021]
Descrizione fisica 1 online resource (210 pages)
Disciplina 332
Soggetto topico Finance - Technological innovations
Financial services industry - Technological innovations
ISBN 981-334-913-1
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Record Nr. UNINA-9910483495103321
Singapore : , : Springer, , [2021]
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Hometown investment trust funds : a stable way to supply risk capital / / Naoyuki Yoshino, Sahoko Kaji, editors
Hometown investment trust funds : a stable way to supply risk capital / / Naoyuki Yoshino, Sahoko Kaji, editors
Edizione [1st ed. 2013.]
Pubbl/distr/stampa Tokyo ; ; New York, : Springer, c2013
Descrizione fisica 1 online resource (103 p.)
Disciplina 330.952
Altri autori (Persone) YoshinoNaoyuki <1950->
KajiSahoko
Soggetto topico Investments - Japan
Stock exchanges - Japan
ISBN 4-431-54309-0
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Ch1 The Background of Hometown Investment Trust Funds (Naoyuki Yoshino) -- Ch2 Supply of Risk Capital for Regional Development in Japan (Atsuo Akai) -- Ch3 Hometown Investment Trust Funds in Japan (Masami Komatsu) -- Ch4 Hometown Investment Trust Funds for Regional Development (Norifumi Sugimoto) -- Ch5 HIT as a Form of Microfi nance in Asia (Yuka Morita) -- Ch6 Concluding Remarks and the Way Forward (Shuhei Shiozawa).
Record Nr. UNINA-9910438248603321
Tokyo ; ; New York, : Springer, c2013
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Who will provide the next financial model? : Asia's financial muscle and Europe's financial maturity / / Sahoko Kaji, Eiji Ogawa, editors
Who will provide the next financial model? : Asia's financial muscle and Europe's financial maturity / / Sahoko Kaji, Eiji Ogawa, editors
Edizione [1st ed. 2013.]
Pubbl/distr/stampa Tokyo ; ; New York, : Springer, c2013
Descrizione fisica 1 online resource (296 p.)
Disciplina 338.9
Altri autori (Persone) KajiSahoko
OgawaEiji <1931->
Soggetto topico Economic policy
Finance - Mathematical models
ISBN 4-431-54282-5
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Who Will Provide the Next Financial Model?; Preface; Contents; List of Contributors; Editors; Authors; EU Studies Institute; Part I: Financial Regulation; The EU's Approach to Improving Financial Regulation; 1 Phases of the Crisis; 2 A Rapidly-Evolving Governance Agenda; 2.1 The Supervisory Framework; 2.2 Stress Tests and Other Measures; 2.3 Resolution Procedures; 2.4 Complementary Macroeconomic Coordination Changes; 3 The Challenges and Next Stages; 3.1 Accommodating Different Interests; 3.2 The Role of the ECB; 3.3 Unfinished Business; 4 Conclusions
Appendix: The EU Legislative Programme on Financial RegulationReferences; Asia's Approach to Improve Financial Regulation; 1 The G20 and FSB as New International Forums for Financial Regulation and Supervision; 1.1 G20; 1.2 FSB; 2.2 Asia Speaking as One Voice; 3 Asia's Approach: Efforts Towards Regional Coordination; 3.1 Multilateral Forums; 3.2 Other Regional Dialogues; 3.3 Need for Emerging and Developing Economies' Perspectives; 4 Conclusion; Comment Paper to Chapters "The EU's Approach to Improving Financial Regulation" and "Asia's Approach to Improve Financial Regulation"
Comment Paper to Chapters "The EU's Approach to Improving Financial Regulation" and "Asia's Approach to Improve Financial Regulation"Part II: Monetary Policy; The European Central Bank and Implications of the Sovereign Debt Crisis; 1 Introduction; 2 The Interaction Between Monetary and Fiscal Dominance Against a Background of Financial Stability Concerns; 2.1 Theoretical Background; 2.2 Where Do We Stand in the Euro Area?; 2.2.1 Treaty Provisions; 2.2.2 The Policy of the ECB; 3 A Chronological Bird's Eye View of the 2007-2011 Financial Crisis
3.1 Financial Turmoil: 9 August 2007-14 September 20083.2 The Global Financial Crisis: 15 September 2008-7 May 2010; 3.3 Sovereign Debt Crisis: Today; 4 What Is the Reasoning Behind the ECB Policy Decisions?; 5 Some Concluding Remarks; Appendix; References; Comment Paper to Chapter "The European Central Bank and Implications of the Sovereign Debt Crisis"; Evolution of Quantitative Easing; 1 Introduction; 2 Role of Central Bank Balance Sheet; 3 Central Bank Balance Sheet Under Financial Crises; 4 Discussion; 4.1 Unconventional Policy Versus Policy Commitment
4.2 Portfolio Rebalancing Channel on Yield Curve4.3 Border with Fiscal Policy; 4.4 Acute Pain Versus Chronic Illness; 5 Concluding Remarks; References; Comment Paper to Chapter "Evolution of Quantitative Easing"; Lessons Learned, Lessons Not Learned and the Lessons to Be Learned: From the Asian Crisis to the European Crises; 1 The Asian Crisis; 1.1 Causes; 1.2 Lesson Learned; 1.3 The Asian View of Lessons Learned; 1.4 Applying the Lessons: Coping with Large Post-crisis Capital Inflows; 2 European Crisis; 2.1 Lessons Not Learned; 2.1.1 Crisis Prevention; 2.1.2 Crisis Management
2.2 Lessons to Be Learned
Record Nr. UNINA-9910739436003321
Tokyo ; ; New York, : Springer, c2013
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui