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.
Contemporary Issues in Bank Financial Management
Contemporary Issues in Bank Financial Management
Pubbl/distr/stampa Bingley, England : , : Emerald, , 2016
Descrizione fisica 1 online resource (248 p.)
Disciplina 332.10681
Altri autori (Persone) Simon Grima
Frank Bezzina
Collana Contemporary Studies in Economic and Financial Analysis
Soggetto topico Business & Economics - Banks & Banking
Banking
ISBN 1-78560-999-8
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Front Cover; Contemporary Issues in Bank Financial Management; Copyright page; Contents; List of Contributors; Contemporary Studies in Economic and Financial Analysis special edition - Volume 97 Contemporary Issues in Bank Financial M...; References; Active versus Passive Investing: An Empirical Study on The US and European Mutual Funds and ETFs; Introduction; Aim of the Study; Literature Review; Theoretical Background; CAPM and Risk-Adjusted Models; Single-Factor Regression Model; Multi-Factor Regression Models; Evidence on Active and Passive Management
Evidence on Index Mutual Funds and Passive ETFsMethodology and Data; Sample Description; Asset Pricing Models, Benchmarks and Proxies; Regression Models; OLS and CLRM Assumptions; Dataset and Residual Diagnostics Results; Results and Analysis; Orthodox Asset Pricing Models Results; Portfolios' Characteristics Analysis; Hybrid Equity Mutual Funds; Active Management Costs as a Subsidy for Market Efficiency; Conclusion; Limitations and Recommendations for Future Research; Notes; References; FX Hedging Using Forwards and 'Premium-Free' Options; Introduction; Literature Review
Exotic (Barrier) OptionsKnock-Ins and Knock-Outs; Structured Barrier Options - The Forward Extra; Constructing a Forward Extra; Understanding How the 'Zero-Premium' Is Achieved; Window Forward Extra and At-Expiry Forward Extra; The Possible Outcomes of a Forward Extra; The Pay-off Diagram of a Forward Extra; Hedging; Long-Term and Short-Term Hedging; Aim and Methodology; Data Used; Creating Portfolios; Portfolio Coding Sample; VIX Chart Analysis; Plotting Histograms; Findings; Analysing the Portfolios' Risk; Testing the Statistical Significance of Portfolios' Outcomes
EURUSD Portfolio and the VIX LevelPortfolios Histograms and Distribution Curves; Interpretation of Histograms; Kurtosis Analysis; Summary of Findings; Recommendations and Conclusions; Recommendations for Professionals; Introducing Additional Strategies; Portfolios Risk; Segregating Portfolios; Histograms; Recommendations for Clients; Conclusion; References; APPENDIX A; APPENDIX B; APPENDIX C; Director Trading in Malta: An Analysis of Returns; Introduction; Aim of Study; Legislative Framework and Notification of Transactions by Directors in Malta; Literature Review
Impact of Purchases and Sales to OutsidersImpact of Volume of Trades; Research Questions and Hypotheses; Method; Sample Selection Method and Data Adjustments; Results and Discussion; Conclusion; Limitations and Recommendations for Future Research; References; Equity Mutual Fund Performance Evaluation: An Emerging Market Perspective; Introduction; Aim of the Research; Literature Review; From 'Unity Creates Strength' to the World's Most Popular Investment Vehicle; Why Emerging Economies?; Portfolio Performance Measures; Mutual Fund Performance; Determinants of Mutual Fund Performance
Methodology and Data
Record Nr. UNINA-9910798266503321
Bingley, England : , : Emerald, , 2016
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Contemporary issues in finance : current challenges from across Europe / / edited by Simon Grima [and three others]
Contemporary issues in finance : current challenges from across Europe / / edited by Simon Grima [and three others]
Edizione [First edition.]
Pubbl/distr/stampa Bingley, England : , : Emerald, , 2017
Descrizione fisica 1 online resource (214 pages)
Disciplina 332.1094
Altri autori (Persone) BezzinaFrank
Rupeika-ApogaRamona
GrimaSimon
Collana Contemporary studies in economic and financial analysis
Soggetto topico Business & Economics - Banks & Banking
Finance
Banking
Finance - Europe
ISBN 1-78635-906-5
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Impact of financial literacy on domesic economic activity in the Baltic states / Margarita Dunska, Kaspars Kravinskis -- Banking and Fintech: a challenge or opportunity? / Inna Romanova, Marina Kudinska -- Analysis of crowdfunding in European Union: performance perspectives / Alina Dibrova -- Misuse of derivatives: considerations for internal control / Simon Grima, Frank H. Bezzina, Inna Romanova -- Profiles of SMES as borrowers: case of Latvia / Ramona Rupeika-Apoga, Irina Solovjova -- Avoiding bankruptcy in Italy: the preventive arrangement with creditors / Alessandro Danovi, Patrizia Riva, Marina Azzola -- Mergers and acquisitions: examples of best practice in Europe and Latvia / Svetlana Saksonova, Irena Kantane -- Critical factors of pre-acquisition due diligence in cross-border acquisitions / Alen Sacek -- The FDI inflow to special economic zones in Poland / Tomasz Dorozynski, Janusz Swierkocki, Wojciech Urbaniak -- An analysis of audit report lags in Maltese companies / Peter J Baldacchino, Loraine Grech, Konrad Farrugia, Norbert Tabone.
Record Nr. UNINA-9910798962103321
Bingley, England : , : Emerald, , 2017
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Institutional investors in global capital markets [[electronic resource] /] / edited by Narjess Boubakri, Jean-Claude Cosset
Institutional investors in global capital markets [[electronic resource] /] / edited by Narjess Boubakri, Jean-Claude Cosset
Edizione [1st ed.]
Pubbl/distr/stampa Bingley [England], : Emerald Insight, 2011
Descrizione fisica 1 online resource
Disciplina 332.63
Altri autori (Persone) BoubakriNarjess
CossetJean-Claude
Collana International finance review
Soggetto topico Institutional investments
Institutional investors
Global custody (Securities)
Business & Economics - Banks & Banking
Business & Economics - Finance
Finance
Banking
ISBN 1-283-32016-9
9786613320162
1-78052-243-6
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Introduction to institutional investors in global capital markets / Narjess Boubakri, Jean-Claude Cosset, Hyacinthe Y. Somé -- Financial liberalization and foreign institutional investors : literature review / Gohar G. Stepanyan -- Institutional investment horizon and firm credit ratings / Najah Attig, Sadok El Ghoul, Omrane Guedhami -- Divestment of foreign strategic investment in China's banking sector : causes and consequences / Yuhua Li, Konari Uchida -- Domestic and foreign institutional investor behavior in China : financial characteristics and corporate governance / Don Bredin, Ningyue Liu -- Institutional investors' participation in foreign firms : evidence from ADRs / Narjess Boubakri, Olfa Hamza, Maher Kooli -- Do foreign institutional investors (FIIs) exhibit herding and positive feedback trading in Indian stock markets? / Mangesh Tayde, S.V.D. Nageswara Rao -- Do financial conglomerates have an incentive to prevent managers of other firms from pursuing their own interest? / Carlos Alves, Victor Mendes -- The impact of foreign government investments : sovereign wealth fund investments in the United States / Elvira Sojli, Wing Wah Tham -- What do sovereign wealth funds imply for financial stability? / Tao Sun, Heiko Hesse -- Africa's quest for development : can sovereign wealth funds help? / Thouraya Triki, Issa Faye -- Portfolio allocation for sovereign wealth funds in the shadow of commodity-based national wealth / Christopher Balding, Yao Yao -- Are sovereign wealth funds politically biased? : a comparison with other institutional investors / Rolando Avendaño, Javier Santiso -- Sovereign wealth fund acquisitions : a comparative analysis with mutual funds / Narjess Boubakri, Jean-Claude Cosset, Nabil Samir.
Record Nr. UNINA-9910781583303321
Bingley [England], : Emerald Insight, 2011
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
International banking in the new era [[electronic resource] ] : post-crisis challenges and opportunities / / edited by Suk-Joong Kim, Michael D. McKenzie
International banking in the new era [[electronic resource] ] : post-crisis challenges and opportunities / / edited by Suk-Joong Kim, Michael D. McKenzie
Pubbl/distr/stampa Bingley, U.K., : Emerald Group Pub. Ltd., 2010
Descrizione fisica 1 online resource (486 p.)
Disciplina 332.15
Altri autori (Persone) KimSuk-Joong
McKenzieMichael D., Prof
Collana International finance review
Soggetto topico Business & Economics - Banks & Banking
Banking
Finance & accounting
Banks and banking, International
Global Financial Crisis, 2008-2009
ISBN 1-282-88871-4
9786612888717
1-84950-913-1
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Introduction to international banking in the new era : post-crisis challenges and opportunities / Suk-Joong Kim and Michael McKenzie -- The sub-prime mortgage crises : how the market was failed and manipulated / Olasunkanmi Sholarin -- Bank fragility and the financial crisis : evidence from the U.S. dual banking system / Christian Rauch -- Asia-Pacific perspectives on the global financial crisis 2007-2009 / Jonathan A. Batten, Warren P. Hogan and Peter G. Szilagyi -- Bankers and scapegoats / Sinclair Davidson -- The lawyers and the meltdown : the role of lawyers in the current financial crisis / William Rapp -- The Global Financial Crisis : causes, effects and issues to consider in the reform of financial regulation / Folarin Akinbami -- Reforming international standards for bank capital requirements : a perspective from the developing world / Pierre-Richard Agénor and Luiz A. Pereira da Silva -- Financial fragility and securitisation : the discussions with Australian regulators and bank risk managers / Siqiwen Li -- The effects of underwriting practices on loan losses : evidence from the FDIC survey of bank lending practices / John P. OKeefe -- Banks, ABSs and CDSs : information production, risk bearing, and incentive compatibility / Thi Ngoc Tuan Bui, Thi Thong Van Nguyen, and Piet Sercu -- Distress resolution strategies in the banking sector : implications for global financial crises / Maria Carapeto, Scott Moeller, Anna Faelten, Valeriya Vitkova, Leonardo Bortolotto -- Comparison of banking efficiency in Europe : Islamic versus conventional banks / Wahida Ahmad and Robin H. Luo -- The economic determinants and behavior of foreign banks in emerging countries during a period of global economic downturn / Aneta Hryckiewicz and Oskar Kowalewski -- Does distance affect the performance of foreign banks? : evidence from multinational banking in developing countries / Ji Wu, Bang Nam Jeon and Alina C. Luca.
Record Nr. UNINA-9910785350503321
Bingley, U.K., : Emerald Group Pub. Ltd., 2010
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Research in accounting in emerging economies . Vol. 10 [[electronic resource] /] / edited by Mathew Tsamenyi, Shahzad Uddin
Research in accounting in emerging economies . Vol. 10 [[electronic resource] /] / edited by Mathew Tsamenyi, Shahzad Uddin
Edizione [1st ed.]
Pubbl/distr/stampa Bingley, UK, : Emerald, 2010
Descrizione fisica 1 online resource (309 p.)
Disciplina 657.091724
Altri autori (Persone) UddinShahzad
TsamenyiMathew
Collana Research in accounting in emerging economies
Soggetto topico Business & Economics - Banks & Banking
Banking
Finance & accounting
Accounting - Developing countries
ISBN 1-282-96406-2
9786612964060
0-85724-452-3
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto A trail of unintended consequences : management accounting information in a volatile environment / Esinath Ndiweni -- A new institutional analysis of IFRS / Ahmed Kholeif -- The relationship between auditor size and audit fees : further evidence from big four market shares in emerging economies / Stephan A. Fafatas, Kevin Jialin Sun -- Factors influencing corporate disclosure transparency in the active share tradeing firms : an explanatory study / Khaled Samaha, Khaled Dahawy -- Analysis of the determinants of corporate social responsibility disclosure in the annual reports of Tunisian listed firms / Souhir Khemir, Chedli Baccouche -- Corporate environmental and climate change disclosures : empirical evidence from Bangladesh / Ataur Rahman Belal, Md. Rezaul Kabir, Stuart Cooper, Prasanta Dey, Niaz Ahmed Khan, Taiabur Rahman, Mohobbot Ali -- The adoption of IPSASs in South Asia : a comparative study of seven countries / Pawan Adhikari, Frode Mellemvik -- The roles of degree of competition and types of business strategies in adopting multiple performance measurement practices : some reflections from Bangladesh / Habib-Uz-Zaman Khan, Rafiuddin Ahmed, Abdel Karim Halabi -- The adoption of accrual accounting in the Indonesian public sector / Harun Harun, Peter Robinson -- Toward IFRS : economic consequences of accounting convergence in an emerging economy / Vinícius Simmer de Lima, Gerlando Augusto Sampaio Franco de Lima, L. Nelson Guedes de Carvalho, Iran Siqueira Lima.
Record Nr. UNINA-9910785405003321
Bingley, UK, : Emerald, 2010
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Research in finance . Vol. 29 [[electronic resource] /] / edited by John W. Kensinger
Research in finance . Vol. 29 [[electronic resource] /] / edited by John W. Kensinger
Edizione [1st ed.]
Pubbl/distr/stampa Bingley, U.K., : Emerald, 2013
Descrizione fisica 1 online resource (200 p.)
Disciplina 332
Altri autori (Persone) KensingerJohn W
Collana Research in finance
Soggetto topico Finance - Research
Finance, Public
Economic policy
Business & Economics - Finance
Business & Economics - Banks & Banking
Law - Bankruptcy & Insolvency
Finance
Banking
ISBN 1-78190-759-5
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Introduction / John W. Kensinger -- Eurozone banking union "Ante Portas" / Wolfgang Hartmann -- Earnings management and audit qualifications : a non-matched sample approach / Josep Garcia-Blandon, Josep Maria Argiles Bosch, Monica Martinez-Blasco -- The real asset anomaly : a critical long view of capital markets and institutions from realized returns of corporate assets in over 50 years / James S. Ang, Gregory L. Nagel -- On the estimation of risk premium in the gold futures market : using the Goldman Sachs commodity index (GSCI) approach / Helen Xu, Eric C. Lin, John W. Kensinger -- The privatization wave : reaction to regulation or move to greater efficiency? / John W. Kensinger -- Negative pricing in U.S. electric power production and distribution / Kevin Jones -- Head and shoulders above the rest? The performance of institutional portfolio managers who use technical analysis / David M. Smith, Christophe Faugère, Ying Wang.
Record Nr. UNINA-9910790586903321
Bingley, U.K., : Emerald, 2013
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Research in finance . Vol. 28 [[electronic resource] /] / edited by John W. Kensinger
Research in finance . Vol. 28 [[electronic resource] /] / edited by John W. Kensinger
Edizione [1st ed.]
Pubbl/distr/stampa Bingley, U.K., : Emerald, 2012
Descrizione fisica 1 online resource (309 p.)
Disciplina 332
Altri autori (Persone) KensingerJohn W
Collana Research in finance
Soggetto topico Business & Economics - Finance
Business & Economics - Banks & Banking
Law - Bankruptcy & Insolvency
Finance
Banking
Investments
ISBN 1-280-76902-5
9786613679796
1-78052-753-5
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto ch. 1. An empirical exploration of the CBOE volatility index (VIX) futures market as a hedge for equity market and hedge fund investors / Keith Black -- ch. 2. Global earnings forecasting efficiency / John B. Guerard -- ch. 3. The impact of employee stock ownership on firms' investments and market value / Andrew H. Chen, John W. Kensinger -- ch. 4. Abnormal returns and in-house mergers and acquisitions / Wallace N. Davidson, Shenghui Tong, Pornsit Jiraporn -- ch. 5 Enhancing the role of real options in financial decision making : buying and selling real options / Andrew H. Chen, James A. Conover, John W. Kensinger -- ch. 6. Financial leverage, project equity, and sensitivity of NPV / Wm. Steven Smith, Steven A. Dennis -- ch. 7. Risk management and market efficiency on the Midwest independent system operator electricity exchange / Kevin Jones -- ch. 8. At the origins of female directors' networks : a study of the French case / Emmanuel Zenou, Isabelle Allemand, Bénédicte Brullebaut -- ch. 9. Economic motivation of the ex-dividend day anomaly : evidence from an emerging market environment / Sarin Anantarak.
Record Nr. UNINA-9910790260203321
Bingley, U.K., : Emerald, 2012
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui