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The 2008 global financial crisis in retrospect : causes of the crisis and national regulatory responses / / Robert Z. Aliber, Gylfi Zoega, editors
The 2008 global financial crisis in retrospect : causes of the crisis and national regulatory responses / / Robert Z. Aliber, Gylfi Zoega, editors
Edizione [1st ed. 2019.]
Pubbl/distr/stampa New York, New York : , : Springer Berlin Heidelberg, , [2019]
Descrizione fisica 1 online resource (xviii, 443 pages) : illustrations (chiefly color), charts
Disciplina 330.90511
Collana Gale eBooks
Soggetto topico Financial institutions - Law and legislation
Macroeconomics
Banks and banking
Financial crises
International economic relations
Law and economics
Economic development
ISBN 3-030-12395-2
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto 1. A Retrospective on the 2008 Global Financial Crisis- Robert Z Aliber and Gylfi Zoega -- Part I: The Source of the 2008 Global Financial Crisis -- 2. The Financial Alchemy that Failed- Marcus Miller -- 3. Prudential Regulation and Capital Controls- Michael Dooley -- 4. Three Grand State Projects Meet the Financial System- Peter Garber -- 5. The 2008 GFC: Savings or banking glut?- Robert McCauley -- 6. Capital Flows into the United States Ahead of the Great North Atlantic Financial Crisis -- Brad Setser -- 7. The foreign capital flow and domestic drivers of the US financial crisis and its spread globally -- Jeffrey Shafer -- 8. Financial crisis and bank capital- Robert Aliber -- 9. Three Reflections on Banking Regulation and Cross-Border Financial Flows -- Edwin Truman -- Part II: Iceland and the 2008 Global Crisis -- 10. From a Capital Account Surplus to a Current Account Deficit- Gylfi Zoega and Hamid Raza -- 11. The Icelandic banking crisis of 2008: Some exportable lessons”- Gauti Eggertsson, Sigridur Benediktsdottir and Eggert T Thorarinsson -- 12. Iceland’s capital controls -- Fridrik M. Baldursson -- 13. Wages of failure: Compensation schemes of the failed Icelandic banks and subsequent policy responses- Gudrun Johnsen -- 14. Financial policy after the crisis Jon Danielsson -- 15. Business cycles and health: Lessons from the Icelandic economic collapse- Tinna Asgeirsdóttir -- 16. Ten years after: Iceland’s unfinished business -- Thorvaldur Gylfason -- 17. After 100 years of experimenting: One solution?- Asgeir Jonsson -- 18. Iceland should replace its central bank with a currency board- Fredrik NG Andersson and Lars Jonung -- 19. Post-crisis monetary policy reforms in Iceland: Learning the hard way- Thorarinn G. Petursson -- 20. Inflation targeting, capital controls, and currency intervention in Iceland, 2012-2017- Sebastian Edwards -- Part III: Panel Discussion on the 2008 Crisis -- 21. Comments by Robert Z Aliber -- 22. Comments by William White -- 23. Comments by Larry Goodman.
Record Nr. UNINA-9910337673803321
New York, New York : , : Springer Berlin Heidelberg, , [2019]
Materiale a stampa
Lo trovi qui: Univ. Federico II
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2014 : how to survive the next world crisis / / Nicholas Boyle
2014 : how to survive the next world crisis / / Nicholas Boyle
Autore Boyle Nicholas
Pubbl/distr/stampa London, England ; ; New York, New York : , : Continuum, , 2012
Descrizione fisica 1 online resource (193 p.)
Disciplina 338.542
Soggetto topico Financial crises
International cooperation
Soggetto genere / forma Electronic books.
ISBN 1-282-87400-4
9786612874000
1-4411-3341-0
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto pt. 1. Towards the great event -- pt. 2. Finding the way.
Record Nr. UNINA-9910458772403321
Boyle Nicholas  
London, England ; ; New York, New York : , : Continuum, , 2012
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
2014 : how to survive the next world crisis / / Nicholas Boyle
2014 : how to survive the next world crisis / / Nicholas Boyle
Autore Boyle Nicholas
Pubbl/distr/stampa London, England ; ; New York, New York : , : Continuum, , 2012
Descrizione fisica 1 online resource (193 p.)
Disciplina 338.542
Soggetto topico Financial crises
International cooperation
ISBN 1-282-87400-4
9786612874000
1-4411-3341-0
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto pt. 1. Towards the great event -- pt. 2. Finding the way.
Record Nr. UNINA-9910785211703321
Boyle Nicholas  
London, England ; ; New York, New York : , : Continuum, , 2012
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
2014 : how to survive the next world crisis / / Nicholas Boyle
2014 : how to survive the next world crisis / / Nicholas Boyle
Autore Boyle Nicholas
Pubbl/distr/stampa London, England ; ; New York, New York : , : Continuum, , 2012
Descrizione fisica 1 online resource (193 p.)
Disciplina 338.542
Soggetto topico Financial crises
International cooperation
ISBN 1-282-87400-4
9786612874000
1-4411-3341-0
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto pt. 1. Towards the great event -- pt. 2. Finding the way.
Record Nr. UNINA-9910827678903321
Boyle Nicholas  
London, England ; ; New York, New York : , : Continuum, , 2012
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
6th International Finance Conference on Financial Crisis and Governance [[electronic resource] /] / editor, Mondher Bellalah
6th International Finance Conference on Financial Crisis and Governance [[electronic resource] /] / editor, Mondher Bellalah
Pubbl/distr/stampa Newcastle upon Tyne, UK, : Cambridge Scholars, 2011
Descrizione fisica 1 online resource (797 p.)
Altri autori (Persone) BellalahMondher
Soggetto topico Financial crises
Financial institutions, International - Management
Financial risk management
International finance
Soggetto genere / forma Electronic books.
ISBN 1-4438-3312-6
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto TABLE OF CONTENTS; PART 1; THE PERFORMANCE OF HYBRID MODELS IN THE ASSESSMENT OF DEFAULT RISK; EXCESS VOLATILITY AND BEHAVIOURAL FEATURES SURROUNDING THE CRISIS PERIOD; BASEL III; "PSYCHOMETRIC" INDICES AND THE PREDICTION OF FINANCIAL BUBBLES; THE GOVERNANCE OF PORTS IN THE MEDITERRANEAN; SOLVENCY AND VALUATION OF BANKS; PART 2; WHAT DRIVES IFDIS IN THE NIGERIAN BANKING INDUSTRY?; IMPACT OF MACROECONOMIC FACTORS ON STOCK EXCHANGE PRICES; OIL PRICE FLUCTUATIONS AND EQUITY RETURNS IN NET OIL-EXPORTING COUNTRIES; THE INFLUENCE OF INSTITUTIONAL HOLDINGS ON THE STRATEGIC ORIENTATIONS OF BUSINESSES
BACK TO ACCOUNTING BASICS FINANCIAL CRISIS? FOR AN OPTIMISTIC VIEW OF GROWTH; PART 3; VALUABLE DECISIONS AND INFORMATION; TEST OF THE CUMULATIVE PROSPECTS THEORY; A SCENARIO-BASED APPROACH TO EVALUATE SUPPLY CHAIN NETWORKS; VOLATILITY SPILLOVER AMONG ISLAMIC AND OTHERS; THE MULTIPLE STRADDLE CARRIER ROUTING PROBLEM; PART 4; SOVEREIGN DEBT CRISIS AND CREDIT DEFAULT SWAPS; BOND SENSITIVITIES AND INTEREST RATE RISKS; CREDIT CRISIS AND THE COLLAPSE OF ARS MARKET; BEYOND THE EMU CRISIS; THE IMPACT OF THE QUALITATIVE FACTORS ON ETHICS JUDGMENTS OF MATERIALITY IN AUDIT; PART 5
DOES CO-INTEGRATION AND CAUSAL RELATIONSHIP EXIST BETWEEN THE NON-STATIONARY VARIABLES FOR CHINESE BANKS PROFITABILITY? EMPIRICAL EVIDENCEINTERACTIONS BETWEEN FREE CASH FLOW, DEBT POLICY AND STRUCTURE OF GOVERNANCE; FINANCING CONSTRAINTS THEORY; THE DETERMINANTS OF THE NEW VENTURE DECISION IN TUNISIA; COMPARABILITY OF FINANCIAL INFORMATION AND SEGMENTAL REPORTING; PART 6; THE KNOWLEDGE STRUCTURE OF FRENCH MANAGEMENT CONTROL RESEARCH; ANALYSIS OF MANAGERS' USE OF MANAGEMENT ACCOUNTING; "THE DRAFT AMENDMENT TO STANDARD IAS18 REGARDING THE CAPITALIZATION OF PROCEEDS FROM NORMAL ACTIVITIES"
MANAGEMENT CONTROL THROUGH COMMUNICATION ORGANIZATIONAL LEARNING AND KNOWLEDGE DEVELOPMENT PECULIARITIES IN SMALL AND MEDIUM FAMILY ENTERPRISES; THE CASE AS A RESEARCH TOOL IN MANAGEMENT SCIENCES; PART 7; SYARIAH ACCOUNTING AND COMPLIANT SCREENING PRACTICES; ISLAMIC FINANCE, ENERGY SECTOR AND FINANCIAL INNOVATIONS; SUKUKS; THE PERFORMANCE OF ISLAMIC CAPITAL MARKET AND MAXIMIZATION OF THE WEALTH OF SHARE HOLDERS AND VALUE OF COMPANY; ISLAMIC FINANCE OUTSIDE THE MUSLIM WORLD; A COMPARISON OF LEVERAGE AND PROFITABILITY BETWEEN ISLAMIC AND CONVENTIONAL BANKS
Record Nr. UNINA-9910462895903321
Newcastle upon Tyne, UK, : Cambridge Scholars, 2011
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
6th International Finance Conference on Financial Crisis and Governance [[electronic resource] /] / editor, Mondher Bellalah
6th International Finance Conference on Financial Crisis and Governance [[electronic resource] /] / editor, Mondher Bellalah
Pubbl/distr/stampa Newcastle upon Tyne, UK, : Cambridge Scholars, 2011
Descrizione fisica 1 online resource (797 p.)
Altri autori (Persone) BellalahMondher
Soggetto topico Financial crises
Financial institutions, International - Management
Financial risk management
International finance
ISBN 1-4438-3312-6
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto TABLE OF CONTENTS; PART 1; THE PERFORMANCE OF HYBRID MODELS IN THE ASSESSMENT OF DEFAULT RISK; EXCESS VOLATILITY AND BEHAVIOURAL FEATURES SURROUNDING THE CRISIS PERIOD; BASEL III; "PSYCHOMETRIC" INDICES AND THE PREDICTION OF FINANCIAL BUBBLES; THE GOVERNANCE OF PORTS IN THE MEDITERRANEAN; SOLVENCY AND VALUATION OF BANKS; PART 2; WHAT DRIVES IFDIS IN THE NIGERIAN BANKING INDUSTRY?; IMPACT OF MACROECONOMIC FACTORS ON STOCK EXCHANGE PRICES; OIL PRICE FLUCTUATIONS AND EQUITY RETURNS IN NET OIL-EXPORTING COUNTRIES; THE INFLUENCE OF INSTITUTIONAL HOLDINGS ON THE STRATEGIC ORIENTATIONS OF BUSINESSES
BACK TO ACCOUNTING BASICS FINANCIAL CRISIS? FOR AN OPTIMISTIC VIEW OF GROWTH; PART 3; VALUABLE DECISIONS AND INFORMATION; TEST OF THE CUMULATIVE PROSPECTS THEORY; A SCENARIO-BASED APPROACH TO EVALUATE SUPPLY CHAIN NETWORKS; VOLATILITY SPILLOVER AMONG ISLAMIC AND OTHERS; THE MULTIPLE STRADDLE CARRIER ROUTING PROBLEM; PART 4; SOVEREIGN DEBT CRISIS AND CREDIT DEFAULT SWAPS; BOND SENSITIVITIES AND INTEREST RATE RISKS; CREDIT CRISIS AND THE COLLAPSE OF ARS MARKET; BEYOND THE EMU CRISIS; THE IMPACT OF THE QUALITATIVE FACTORS ON ETHICS JUDGMENTS OF MATERIALITY IN AUDIT; PART 5
DOES CO-INTEGRATION AND CAUSAL RELATIONSHIP EXIST BETWEEN THE NON-STATIONARY VARIABLES FOR CHINESE BANKS PROFITABILITY? EMPIRICAL EVIDENCEINTERACTIONS BETWEEN FREE CASH FLOW, DEBT POLICY AND STRUCTURE OF GOVERNANCE; FINANCING CONSTRAINTS THEORY; THE DETERMINANTS OF THE NEW VENTURE DECISION IN TUNISIA; COMPARABILITY OF FINANCIAL INFORMATION AND SEGMENTAL REPORTING; PART 6; THE KNOWLEDGE STRUCTURE OF FRENCH MANAGEMENT CONTROL RESEARCH; ANALYSIS OF MANAGERS' USE OF MANAGEMENT ACCOUNTING; "THE DRAFT AMENDMENT TO STANDARD IAS18 REGARDING THE CAPITALIZATION OF PROCEEDS FROM NORMAL ACTIVITIES"
MANAGEMENT CONTROL THROUGH COMMUNICATION ORGANIZATIONAL LEARNING AND KNOWLEDGE DEVELOPMENT PECULIARITIES IN SMALL AND MEDIUM FAMILY ENTERPRISES; THE CASE AS A RESEARCH TOOL IN MANAGEMENT SCIENCES; PART 7; SYARIAH ACCOUNTING AND COMPLIANT SCREENING PRACTICES; ISLAMIC FINANCE, ENERGY SECTOR AND FINANCIAL INNOVATIONS; SUKUKS; THE PERFORMANCE OF ISLAMIC CAPITAL MARKET AND MAXIMIZATION OF THE WEALTH OF SHARE HOLDERS AND VALUE OF COMPANY; ISLAMIC FINANCE OUTSIDE THE MUSLIM WORLD; A COMPARISON OF LEVERAGE AND PROFITABILITY BETWEEN ISLAMIC AND CONVENTIONAL BANKS
Altri titoli varianti Sixth International Finance Conference on Financial Crisis and Governance
Record Nr. UNINA-9910786222203321
Newcastle upon Tyne, UK, : Cambridge Scholars, 2011
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
6th International Finance Conference on Financial Crisis and Governance [[electronic resource] /] / editor, Mondher Bellalah
6th International Finance Conference on Financial Crisis and Governance [[electronic resource] /] / editor, Mondher Bellalah
Pubbl/distr/stampa Newcastle upon Tyne, UK, : Cambridge Scholars, 2011
Descrizione fisica 1 online resource (797 p.)
Altri autori (Persone) BellalahMondher
Soggetto topico Financial crises
Financial institutions, International - Management
Financial risk management
International finance
ISBN 1-4438-3312-6
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto TABLE OF CONTENTS; PART 1; THE PERFORMANCE OF HYBRID MODELS IN THE ASSESSMENT OF DEFAULT RISK; EXCESS VOLATILITY AND BEHAVIOURAL FEATURES SURROUNDING THE CRISIS PERIOD; BASEL III; "PSYCHOMETRIC" INDICES AND THE PREDICTION OF FINANCIAL BUBBLES; THE GOVERNANCE OF PORTS IN THE MEDITERRANEAN; SOLVENCY AND VALUATION OF BANKS; PART 2; WHAT DRIVES IFDIS IN THE NIGERIAN BANKING INDUSTRY?; IMPACT OF MACROECONOMIC FACTORS ON STOCK EXCHANGE PRICES; OIL PRICE FLUCTUATIONS AND EQUITY RETURNS IN NET OIL-EXPORTING COUNTRIES; THE INFLUENCE OF INSTITUTIONAL HOLDINGS ON THE STRATEGIC ORIENTATIONS OF BUSINESSES
BACK TO ACCOUNTING BASICS FINANCIAL CRISIS? FOR AN OPTIMISTIC VIEW OF GROWTH; PART 3; VALUABLE DECISIONS AND INFORMATION; TEST OF THE CUMULATIVE PROSPECTS THEORY; A SCENARIO-BASED APPROACH TO EVALUATE SUPPLY CHAIN NETWORKS; VOLATILITY SPILLOVER AMONG ISLAMIC AND OTHERS; THE MULTIPLE STRADDLE CARRIER ROUTING PROBLEM; PART 4; SOVEREIGN DEBT CRISIS AND CREDIT DEFAULT SWAPS; BOND SENSITIVITIES AND INTEREST RATE RISKS; CREDIT CRISIS AND THE COLLAPSE OF ARS MARKET; BEYOND THE EMU CRISIS; THE IMPACT OF THE QUALITATIVE FACTORS ON ETHICS JUDGMENTS OF MATERIALITY IN AUDIT; PART 5
DOES CO-INTEGRATION AND CAUSAL RELATIONSHIP EXIST BETWEEN THE NON-STATIONARY VARIABLES FOR CHINESE BANKS PROFITABILITY? EMPIRICAL EVIDENCEINTERACTIONS BETWEEN FREE CASH FLOW, DEBT POLICY AND STRUCTURE OF GOVERNANCE; FINANCING CONSTRAINTS THEORY; THE DETERMINANTS OF THE NEW VENTURE DECISION IN TUNISIA; COMPARABILITY OF FINANCIAL INFORMATION AND SEGMENTAL REPORTING; PART 6; THE KNOWLEDGE STRUCTURE OF FRENCH MANAGEMENT CONTROL RESEARCH; ANALYSIS OF MANAGERS' USE OF MANAGEMENT ACCOUNTING; "THE DRAFT AMENDMENT TO STANDARD IAS18 REGARDING THE CAPITALIZATION OF PROCEEDS FROM NORMAL ACTIVITIES"
MANAGEMENT CONTROL THROUGH COMMUNICATION ORGANIZATIONAL LEARNING AND KNOWLEDGE DEVELOPMENT PECULIARITIES IN SMALL AND MEDIUM FAMILY ENTERPRISES; THE CASE AS A RESEARCH TOOL IN MANAGEMENT SCIENCES; PART 7; SYARIAH ACCOUNTING AND COMPLIANT SCREENING PRACTICES; ISLAMIC FINANCE, ENERGY SECTOR AND FINANCIAL INNOVATIONS; SUKUKS; THE PERFORMANCE OF ISLAMIC CAPITAL MARKET AND MAXIMIZATION OF THE WEALTH OF SHARE HOLDERS AND VALUE OF COMPANY; ISLAMIC FINANCE OUTSIDE THE MUSLIM WORLD; A COMPARISON OF LEVERAGE AND PROFITABILITY BETWEEN ISLAMIC AND CONVENTIONAL BANKS
Altri titoli varianti Sixth International Finance Conference on Financial Crisis and Governance
Record Nr. UNINA-9910828768803321
Newcastle upon Tyne, UK, : Cambridge Scholars, 2011
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Absent Management in Banking [[electronic resource] ] : How Banks Fail and Cause Financial Crisis / / by Christian Dinesen
Absent Management in Banking [[electronic resource] ] : How Banks Fail and Cause Financial Crisis / / by Christian Dinesen
Autore Dinesen Christian
Edizione [1st ed. 2020.]
Pubbl/distr/stampa Cham : , : Springer International Publishing : , : Imprint : Palgrave Macmillan, , 2020
Descrizione fisica 1 online resource (304 pages)
Disciplina 332.1068
Soggetto topico Banks and banking
Financial crises
Leadership
Banking
Financial Crises
Business Strategy/Leadership
ISBN 3-030-35824-0
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto 1. Introduction - Not Managed at All: How the Idea for this Book Occurred and What it is About -- 2. The Medici and Renaissance Complexity: How the Challenges of Renaissance Banking Finally Defeated the First Multinational Bank -- 3. Rothschild, the Largest Bank in the World: How Multinational Family Ownership Overcame Nearly All Management Complexities When Others Failed -- 4. Less Regulation Means Greater Complexity: How Looser Bank Regulation Allowed Faster Growth, Greater Complexity and Contributed to Absent Management in Banking -- 5. Complexity from Growth - Territory and Size: How Absent Management Occurred through Growth by State, Country and Sheer Size -- 6. Complexity from Growth in Lines of Business: How Absent Management Occurred When Different Types of Banking Were Merged -- 7. The Absence of Incentives to Manage: How the Wrong Incentives Resulted in Absent Management -- 8. Producer Managers: How Continued Focus on Banking Resulted in Absent Management -- 9. Bank Failures Cause Crisis: How Absent Management in Banks Can Cause a Crisis -- 10. Bank Failure - Triggering Crisis: How Absent Management in Banks Triggered the 2008 Financial Crisis -- 11. Bank Failures Cause a Global Crisis: How the Complexities of United States Mortgage Securities Devastated Banks and Made Banking Crises Global -- 12. The Cost of Financial Crisis: How Absent Management in Banking Became Costly -- 13. What Has Changed: How Little Has Changed in Terms of Complexity, Producer Managers and Absent Management in Banking -- 14. Conclusion.
Record Nr. UNINA-9910373878603321
Dinesen Christian  
Cham : , : Springer International Publishing : , : Imprint : Palgrave Macmillan, , 2020
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Addressing the ongoing crisis in the housing and financial markets [[electronic resource] ] : statement of Douglas W. Elmendorf, Director, before the Committee on the Budget, United States Senate
Addressing the ongoing crisis in the housing and financial markets [[electronic resource] ] : statement of Douglas W. Elmendorf, Director, before the Committee on the Budget, United States Senate
Autore Elmendorf Douglas W
Pubbl/distr/stampa Washington, D.C. : , : U.S. Congressional Budget Office, , [2009]
Descrizione fisica 34 pages : digital, PDF file
Collana Congressional Budget Office testimony
Soggetto topico Financial crises
Investments
Real estate investment
Speculation
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Altri titoli varianti Addressing the ongoing crisis in the housing and financial markets
Record Nr. UNINA-9910698096803321
Elmendorf Douglas W  
Washington, D.C. : , : U.S. Congressional Budget Office, , [2009]
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
The administrative architecture of financial integration : institutional design, legal issues, perspectives / / Edoardo Chiti, Giulio Vesperini
The administrative architecture of financial integration : institutional design, legal issues, perspectives / / Edoardo Chiti, Giulio Vesperini
Autore Chiti Edoardo
Pubbl/distr/stampa Bologna : , : Societa editrice il Mulino, Spa, , 2016
Descrizione fisica 1 online resource (296 pages)
Disciplina 343.43034
Collana Percorsi
Soggetto topico Budget - Law and legislation
Financial crises
ISBN 88-15-32669-3
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto PART ONE. FUNCTIONS: REGULATION, SUPERVISION, RESOLUTION -- PART TWO. WAYS OF FUNCTIONING: INTEGRATION, COORDINATION, CONFLICTS, ACTORS.
Altri titoli varianti Administrative Architecture of Financial Integration
Record Nr. UNINA-9910136456803321
Chiti Edoardo  
Bologna : , : Societa editrice il Mulino, Spa, , 2016
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui