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.
Europe's untapped capital market : rethinking financial integration after the crisis / / Diego Valiante ; with contributions from Cosmina Amariei and Jan-Martin Frie
Europe's untapped capital market : rethinking financial integration after the crisis / / Diego Valiante ; with contributions from Cosmina Amariei and Jan-Martin Frie
Autore Valiante Diego
Pubbl/distr/stampa Brussels : , : Centre for European Policy Studies, European Capital Markets Institute, , [2016]
Descrizione fisica 1 online resource (290 p.)
Disciplina 332.0415094
Soggetto topico Capital market - Europe
ISBN 1-78660-045-5
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Europe's Untapped Capital Market; Table of Contents ; Foreword ; Preface ; Members of the European Capital Markets Expert Group ; Executive Summary ; I. Building Europe's capital market: Guidelines for an action plan ; Policy recommendations ; II. Financial integration policies: A historical overview
III. Financial integration, risk sharing and economic growth IV. Rationale for more capital markets integration ; V. Integration and structure of Europe's capital markets ; VI. Summary table: Selected cross-border barriers* ; Introduction
1. A brief history of EU policies for financial integration 1.1 The first wave of financial integration ; 1.2 The second wave of financial integration ; 1.3 The third wave of financial integration ; 1.4 EU financial integration policies: a recap
2. Does Europe need more capital market integration? 2.1 Financial integration and risk sharing ; 2.2 Determinants of financial structure and development ; 2.3 Financial development and economic growth ; 3. European financial market structure and integration in the CMU era; 3.1 Europe's financial structure: the international and regional dimension
3.1.1 Funding structure of non-financial corporations 3.1.2 HousFiniHouseholds' financial assets structure ; 3.1.3 Matching households' assets and NFC liabilities ; 3.2 Financial integration in Europe: evidence from the euro area ; 3.3 Capital market-based intermediation in Europe
3.3.1 The structure of the dealer bank industry
Record Nr. UNINA-9910798388103321
Valiante Diego  
Brussels : , : Centre for European Policy Studies, European Capital Markets Institute, , [2016]
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Europe's untapped capital market : rethinking financial integration after the crisis / / Diego Valiante ; with contributions from Cosmina Amariei and Jan-Martin Frie
Europe's untapped capital market : rethinking financial integration after the crisis / / Diego Valiante ; with contributions from Cosmina Amariei and Jan-Martin Frie
Autore Valiante Diego
Pubbl/distr/stampa Brussels : , : Centre for European Policy Studies, European Capital Markets Institute, , [2016]
Descrizione fisica 1 online resource (290 p.)
Disciplina 332.0415094
Soggetto topico Capital market - Europe
ISBN 1-78660-045-5
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Europe's Untapped Capital Market; Table of Contents ; Foreword ; Preface ; Members of the European Capital Markets Expert Group ; Executive Summary ; I. Building Europe's capital market: Guidelines for an action plan ; Policy recommendations ; II. Financial integration policies: A historical overview
III. Financial integration, risk sharing and economic growth IV. Rationale for more capital markets integration ; V. Integration and structure of Europe's capital markets ; VI. Summary table: Selected cross-border barriers* ; Introduction
1. A brief history of EU policies for financial integration 1.1 The first wave of financial integration ; 1.2 The second wave of financial integration ; 1.3 The third wave of financial integration ; 1.4 EU financial integration policies: a recap
2. Does Europe need more capital market integration? 2.1 Financial integration and risk sharing ; 2.2 Determinants of financial structure and development ; 2.3 Financial development and economic growth ; 3. European financial market structure and integration in the CMU era; 3.1 Europe's financial structure: the international and regional dimension
3.1.1 Funding structure of non-financial corporations 3.1.2 HousFiniHouseholds' financial assets structure ; 3.1.3 Matching households' assets and NFC liabilities ; 3.2 Financial integration in Europe: evidence from the euro area ; 3.3 Capital market-based intermediation in Europe
3.3.1 The structure of the dealer bank industry
Record Nr. UNINA-9910823429703321
Valiante Diego  
Brussels : , : Centre for European Policy Studies, European Capital Markets Institute, , [2016]
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
European fixed income markets [[electronic resource] ] : money, bond, and interest rate derivatives / / [edited by] Jonathan A. Batten, Thomas A. Fetherston, and Peter G. Szilagyi
European fixed income markets [[electronic resource] ] : money, bond, and interest rate derivatives / / [edited by] Jonathan A. Batten, Thomas A. Fetherston, and Peter G. Szilagyi
Pubbl/distr/stampa Chichester, West Sussex, England, : Wiley, c2004
Descrizione fisica 1 online resource (506 p.)
Disciplina 332/.041/094
Altri autori (Persone) BattenJonathan
FetherstonThomas A
SzilagyiPeter G. <1976->
Collana Wiley finance series
Soggetto topico Capital market - Europe
Capital market - European Union countries
Fixed-income securities - Europe
Fixed-income securities - European Union countries
Soggetto genere / forma Electronic books.
ISBN 1-280-26943-X
9786610269433
0-470-09287-4
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto European Fixed Income Markets; Contents; Contributors; SECTION I PERSPECTIVE ON EUROPEAN FIXED INCOME AND DERIVATIVE MARKETS; 1 Introduction to the Volume; 1.1 Overview; 1.2 Chapter overview; References; 2 The Euro Area Bond Market: Integration and Development Under Monetary Union; 2.1 Introduction; 2.2 Theoretical underpinnings of financial integration; 2.3 Bond market development under monetary union; 2.4 Proposals and initiatives for reducing market fragmentation; 2.5 Conclusion; References; 3 Perspective on the Emerging European Financial Markets; 3.1 Introduction
3.2 Financial structures in emerging Europe 3.3 International bank borrowing; 3.4 International debt issues; 3.5 Domestic debt issues; 3.6 Conclusion; References; 4 Perspectives on European Derivative Markets; 4.1 Introduction and a brief history of the European derivative markets; 4.2 Europe's major derivative markets; 4.3 An overview of the contracts traded on EUREX and Euronext. Liffe; 4.4 Europe's other derivative markets; 4.5 What the future holds; 5 Benchmark Yield Curves in the Euro Market; 5.1 Introduction; 5.2 Characteristics of benchmark yield curves
5.3 Benchmark tipping in European bond markets 5.4 Government securities as benchmarks; 5.5 Interest rate swaps compete for benchmark status; 5.6 Prospects for other nongovernment benchmarks; References; 6 Some Facts on Pfandbrief Products in Europe; 6.1 Introduction; 6.2 Covered bonds, Pfandbrief products, and securitization; 6.3 The German traditional and jumbo Pfandbrief markets; 6.4 The French "Obligations Foncieres"; 6.5 The Spanish "Cedulas Hipotecarias"; 6.6 The Luxembourg "Lettres de Gage"; 6.7 Common aspects of Pfandbriefe products
6.8 Aspects characterizing the "quality" of Pfandbrief products 6.9 Conclusions and prospects; References; SECTION II COUNTRY STUDIES; 7 Austria; 7.1 Introduction; 7.2 Regulation; 7.3 Credit ratings; 7.4 Taxation; 7.5 Austrian Stock Exchange (Wiener Börse); 7.6 The Austrian bond market; 7.7 Conclusion; References; 8 Belgium; 8.1 Introduction; 8.2 History and structure of the Belgian public debt; 8.3 Government bonds; 8.4 Corporate bonds; 8.5 Derivative products; References; 9 Czech Republic; 9.1 Introduction; 9.2 Financial market regulation; 9.3 Financial market participants
9.4 Money and fixed income instruments 9.5 Conclusion; References; 10 Denmark; 10.1 Introduction; 10.2 History and structure of the Danish bond market; 10.3 The Danish government bond market; 10.4 The market for Danish mortgage-backed securities; 10.5 Other fixed income instruments; 10.6 Market participants, regulation, and trading; References; 11 An Empirical Study of the Term Structure of Interest Rates in Denmark (1993-2002); 11.1 Introduction; 11.2 The EHTS and its testable implications; 11.3 Empirical results for Denmark (1993-2002); 11 .4 Concluding remarks; References
12 Finland, Iceland, Norway, and Sweden
Record Nr. UNINA-9910455914103321
Chichester, West Sussex, England, : Wiley, c2004
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
European fixed income markets [[electronic resource] ] : money, bond, and interest rate derivatives / / [edited by] Jonathan A. Batten, Thomas A. Fetherston, and Peter G. Szilagyi
European fixed income markets [[electronic resource] ] : money, bond, and interest rate derivatives / / [edited by] Jonathan A. Batten, Thomas A. Fetherston, and Peter G. Szilagyi
Pubbl/distr/stampa Chichester, West Sussex, England, : Wiley, c2004
Descrizione fisica 1 online resource (506 p.)
Disciplina 332/.041/094
Altri autori (Persone) BattenJonathan
FetherstonThomas A
SzilagyiPeter G. <1976->
Collana Wiley finance series
Soggetto topico Capital market - Europe
Capital market - European Union countries
Fixed-income securities - Europe
Fixed-income securities - European Union countries
ISBN 1-280-26943-X
9786610269433
0-470-09287-4
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto European Fixed Income Markets; Contents; Contributors; SECTION I PERSPECTIVE ON EUROPEAN FIXED INCOME AND DERIVATIVE MARKETS; 1 Introduction to the Volume; 1.1 Overview; 1.2 Chapter overview; References; 2 The Euro Area Bond Market: Integration and Development Under Monetary Union; 2.1 Introduction; 2.2 Theoretical underpinnings of financial integration; 2.3 Bond market development under monetary union; 2.4 Proposals and initiatives for reducing market fragmentation; 2.5 Conclusion; References; 3 Perspective on the Emerging European Financial Markets; 3.1 Introduction
3.2 Financial structures in emerging Europe 3.3 International bank borrowing; 3.4 International debt issues; 3.5 Domestic debt issues; 3.6 Conclusion; References; 4 Perspectives on European Derivative Markets; 4.1 Introduction and a brief history of the European derivative markets; 4.2 Europe's major derivative markets; 4.3 An overview of the contracts traded on EUREX and Euronext. Liffe; 4.4 Europe's other derivative markets; 4.5 What the future holds; 5 Benchmark Yield Curves in the Euro Market; 5.1 Introduction; 5.2 Characteristics of benchmark yield curves
5.3 Benchmark tipping in European bond markets 5.4 Government securities as benchmarks; 5.5 Interest rate swaps compete for benchmark status; 5.6 Prospects for other nongovernment benchmarks; References; 6 Some Facts on Pfandbrief Products in Europe; 6.1 Introduction; 6.2 Covered bonds, Pfandbrief products, and securitization; 6.3 The German traditional and jumbo Pfandbrief markets; 6.4 The French "Obligations Foncieres"; 6.5 The Spanish "Cedulas Hipotecarias"; 6.6 The Luxembourg "Lettres de Gage"; 6.7 Common aspects of Pfandbriefe products
6.8 Aspects characterizing the "quality" of Pfandbrief products 6.9 Conclusions and prospects; References; SECTION II COUNTRY STUDIES; 7 Austria; 7.1 Introduction; 7.2 Regulation; 7.3 Credit ratings; 7.4 Taxation; 7.5 Austrian Stock Exchange (Wiener Börse); 7.6 The Austrian bond market; 7.7 Conclusion; References; 8 Belgium; 8.1 Introduction; 8.2 History and structure of the Belgian public debt; 8.3 Government bonds; 8.4 Corporate bonds; 8.5 Derivative products; References; 9 Czech Republic; 9.1 Introduction; 9.2 Financial market regulation; 9.3 Financial market participants
9.4 Money and fixed income instruments 9.5 Conclusion; References; 10 Denmark; 10.1 Introduction; 10.2 History and structure of the Danish bond market; 10.3 The Danish government bond market; 10.4 The market for Danish mortgage-backed securities; 10.5 Other fixed income instruments; 10.6 Market participants, regulation, and trading; References; 11 An Empirical Study of the Term Structure of Interest Rates in Denmark (1993-2002); 11.1 Introduction; 11.2 The EHTS and its testable implications; 11.3 Empirical results for Denmark (1993-2002); 11 .4 Concluding remarks; References
12 Finland, Iceland, Norway, and Sweden
Record Nr. UNINA-9910780380803321
Chichester, West Sussex, England, : Wiley, c2004
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
European fixed income markets : money, bond, and interest rate derivatives / / [edited by] Jonathan A. Batten, Thomas A. Fetherston, and Peter G. Szilagyi
European fixed income markets : money, bond, and interest rate derivatives / / [edited by] Jonathan A. Batten, Thomas A. Fetherston, and Peter G. Szilagyi
Edizione [1st ed.]
Pubbl/distr/stampa Chichester, West Sussex, England, : Wiley, c2004
Descrizione fisica 1 online resource (506 p.)
Disciplina 332/.041/094
Altri autori (Persone) BattenJonathan
FetherstonThomas A
SzilagyiPeter G. <1976->
Collana Wiley finance series
Soggetto topico Capital market - Europe
Capital market - European Union countries
Fixed-income securities - Europe
Fixed-income securities - European Union countries
ISBN 1-280-26943-X
9786610269433
0-470-09287-4
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto European Fixed Income Markets; Contents; Contributors; SECTION I PERSPECTIVE ON EUROPEAN FIXED INCOME AND DERIVATIVE MARKETS; 1 Introduction to the Volume; 1.1 Overview; 1.2 Chapter overview; References; 2 The Euro Area Bond Market: Integration and Development Under Monetary Union; 2.1 Introduction; 2.2 Theoretical underpinnings of financial integration; 2.3 Bond market development under monetary union; 2.4 Proposals and initiatives for reducing market fragmentation; 2.5 Conclusion; References; 3 Perspective on the Emerging European Financial Markets; 3.1 Introduction
3.2 Financial structures in emerging Europe 3.3 International bank borrowing; 3.4 International debt issues; 3.5 Domestic debt issues; 3.6 Conclusion; References; 4 Perspectives on European Derivative Markets; 4.1 Introduction and a brief history of the European derivative markets; 4.2 Europe's major derivative markets; 4.3 An overview of the contracts traded on EUREX and Euronext. Liffe; 4.4 Europe's other derivative markets; 4.5 What the future holds; 5 Benchmark Yield Curves in the Euro Market; 5.1 Introduction; 5.2 Characteristics of benchmark yield curves
5.3 Benchmark tipping in European bond markets 5.4 Government securities as benchmarks; 5.5 Interest rate swaps compete for benchmark status; 5.6 Prospects for other nongovernment benchmarks; References; 6 Some Facts on Pfandbrief Products in Europe; 6.1 Introduction; 6.2 Covered bonds, Pfandbrief products, and securitization; 6.3 The German traditional and jumbo Pfandbrief markets; 6.4 The French "Obligations Foncieres"; 6.5 The Spanish "Cedulas Hipotecarias"; 6.6 The Luxembourg "Lettres de Gage"; 6.7 Common aspects of Pfandbriefe products
6.8 Aspects characterizing the "quality" of Pfandbrief products 6.9 Conclusions and prospects; References; SECTION II COUNTRY STUDIES; 7 Austria; 7.1 Introduction; 7.2 Regulation; 7.3 Credit ratings; 7.4 Taxation; 7.5 Austrian Stock Exchange (Wiener Börse); 7.6 The Austrian bond market; 7.7 Conclusion; References; 8 Belgium; 8.1 Introduction; 8.2 History and structure of the Belgian public debt; 8.3 Government bonds; 8.4 Corporate bonds; 8.5 Derivative products; References; 9 Czech Republic; 9.1 Introduction; 9.2 Financial market regulation; 9.3 Financial market participants
9.4 Money and fixed income instruments 9.5 Conclusion; References; 10 Denmark; 10.1 Introduction; 10.2 History and structure of the Danish bond market; 10.3 The Danish government bond market; 10.4 The market for Danish mortgage-backed securities; 10.5 Other fixed income instruments; 10.6 Market participants, regulation, and trading; References; 11 An Empirical Study of the Term Structure of Interest Rates in Denmark (1993-2002); 11.1 Introduction; 11.2 The EHTS and its testable implications; 11.3 Empirical results for Denmark (1993-2002); 11 .4 Concluding remarks; References
12 Finland, Iceland, Norway, and Sweden
Record Nr. UNINA-9910809443903321
Chichester, West Sussex, England, : Wiley, c2004
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Integrating Europe's Financial Markets / / Jörg Decressin, Wim Fonteyne, Hamid Faruqee
Integrating Europe's Financial Markets / / Jörg Decressin, Wim Fonteyne, Hamid Faruqee
Autore Decressin Jörg
Pubbl/distr/stampa Washington, D.C. : , : International Monetary Fund, , 2007
Descrizione fisica 1 online resource (510 p.)
Altri autori (Persone) FonteyneWim
FaruqeeHamid
Soggetto topico Finance - Europe
Capital market - Europe
Financial institutions - Europe
Banks and Banking
Finance: General
Financial Risk Management
Investments: Stocks
Industries: Financial Services
Accounting
Investments: General
Insurance
General Financial Markets: General (includes Measurement and Data)
Banks
Depository Institutions
Micro Finance Institutions
Mortgages
General Financial Markets: Government Policy and Regulation
Financial Institutions and Services: Government Policy and Regulation
Pension Funds
Non-bank Financial Institutions
Financial Instruments
Institutional Investors
Bankruptcy
Liquidation
Finance
Banking
Investment & securities
Economic & financial crises & disasters
Insurance & actuarial studies
Macroeconomics
Financial reporting, financial statements
Stock markets
Financial sector stability
Financial integration
Financial services
Financial markets
Financial sector policy and analysis
Competition
Banks and banking
Financial services industry
Stock exchanges
International finance
Capital market
ISBN 1-4623-8857-4
1-4527-9474-X
1-283-53464-9
9786613847096
1-4519-3175-1
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Toward a single financial market / Wim Fonteyne -- ; Pt. 1. Financial integration -- Key concepts, benefits, and risks / Hamid Faruqee -- Current state of play / François Haas -- Comparing Europe and the United States / Jörg Decressin and Beata Kudela -- Equity market integration / Hamid Faruqee -- ; Pt. 2. Financial stability -- Risk profiles of financial institutions / Alexander Tieman, Gianni De Nicolò, and Robert Corker -- Internationally active large banking groups / Alexander Tieman and Martin Čihák -- Bank business correlations / Jörg Decressin -- Assessing current prudential arrangements / Martin Čihák and Alexander Tieman -- Financial integration and stability / Wim Fonteyne and Jan-Willem van der Vossen.
Record Nr. UNINA-9910780744403321
Decressin Jörg  
Washington, D.C. : , : International Monetary Fund, , 2007
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Integrating Europe's Financial Markets / / Jörg Decressin, Wim Fonteyne, Hamid Faruqee
Integrating Europe's Financial Markets / / Jörg Decressin, Wim Fonteyne, Hamid Faruqee
Autore Decressin Jörg
Edizione [1st ed.]
Pubbl/distr/stampa Washington, D.C. : , : International Monetary Fund, , 2007
Descrizione fisica 1 online resource (510 p.)
Altri autori (Persone) FaruqeeHamid
FonteyneWim
Soggetto topico Finance - Europe
Capital market - Europe
Financial institutions - Europe
Accounting
Banking
Bankruptcy
Banks and Banking
Banks and banking
Banks
Capital market
Competition
Depository Institutions
Economic & financial crises & disasters
Finance
Finance: General
Financial Institutions and Services: Government Policy and Regulation
Financial Instruments
Financial integration
Financial markets
Financial reporting, financial statements
Financial Risk Management
Financial sector policy and analysis
Financial sector stability
Financial services industry
Financial services
General Financial Markets: General (includes Measurement and Data)
General Financial Markets: Government Policy and Regulation
Industries: Financial Services
Institutional Investors
Insurance & actuarial studies
Insurance
International finance
Investment & securities
Investments: General
Investments: Stocks
Liquidation
Macroeconomics
Micro Finance Institutions
Mortgages
Non-bank Financial Institutions
Pension Funds
Stock exchanges
Stock markets
ISBN 1-4623-8857-4
1-4527-9474-X
1-283-53464-9
9786613847096
1-4519-3175-1
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Toward a single financial market / Wim Fonteyne -- ; Pt. 1. Financial integration -- Key concepts, benefits, and risks / Hamid Faruqee -- Current state of play / Francois Haas -- Comparing Europe and the United States / Jorg Decressin and Beata Kudela -- Equity market integration / Hamid Faruqee -- ; Pt. 2. Financial stability -- Risk profiles of financial institutions / Alexander Tieman, Gianni De Nicolo, and Robert Corker -- Internationally active large banking groups / Alexander Tieman and Martin Cihak -- Bank business correlations / Jorg Decressin -- Assessing current prudential arrangements / Martin Cihak and Alexander Tieman -- Financial integration and stability / Wim Fonteyne and Jan-Willem van der Vossen.
Record Nr. UNINA-9910809720703321
Decressin Jörg  
Washington, D.C. : , : International Monetary Fund, , 2007
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Integrating Europe's financial markets [[electronic resource] /] / edited by Jörg Decressin, Hamid Faruqee, and Wim Fonteyne
Integrating Europe's financial markets [[electronic resource] /] / edited by Jörg Decressin, Hamid Faruqee, and Wim Fonteyne
Pubbl/distr/stampa Washington, D.C., : International Monetary Fund, c2007
Descrizione fisica 1 online resource (510 p.)
Altri autori (Persone) DecressinJörg
FaruqeeHamid
FonteyneWim
Soggetto topico Finance - Europe
Capital market - Europe
Financial institutions - Europe
Soggetto genere / forma Electronic books.
ISBN 1-4623-8857-4
1-4527-9474-X
1-283-53464-9
9786613847096
1-4519-3175-1
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Toward a single financial market / Wim Fonteyne -- ; Pt. 1. Financial integration -- Key concepts, benefits, and risks / Hamid Faruqee -- Current state of play / François Haas -- Comparing Europe and the United States / Jörg Decressin and Beata Kudela -- Equity market integration / Hamid Faruqee -- ; Pt. 2. Financial stability -- Risk profiles of financial institutions / Alexander Tieman, Gianni De Nicolò, and Robert Corker -- Internationally active large banking groups / Alexander Tieman and Martin Čihák -- Bank business correlations / Jörg Decressin -- Assessing current prudential arrangements / Martin Čihák and Alexander Tieman -- Financial integration and stability / Wim Fonteyne and Jan-Willem van der Vossen.
Record Nr. UNINA-9910456341603321
Washington, D.C., : International Monetary Fund, c2007
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui