New Research in Corporate Finance and Banking

New Research in Corporate Finance and Banking PDF Author: Bruno Biais
Publisher: Oxford University Press on Demand
ISBN: 9780199243242
Category : Business & Economics
Languages : en
Pages : 358

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Book Description
This volume represents the best European work on corporate finance and banking. It covers the process by which companies 'go public', financial system architecture, design of credit contracts and institutions, and credit market imperfections and economic activity. The papers are both theoretical and empirical.

New Research in Corporate Finance and Banking

New Research in Corporate Finance and Banking PDF Author: Bruno Biais
Publisher: Oxford University Press on Demand
ISBN: 9780199243242
Category : Business & Economics
Languages : en
Pages : 358

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Book Description
This volume represents the best European work on corporate finance and banking. It covers the process by which companies 'go public', financial system architecture, design of credit contracts and institutions, and credit market imperfections and economic activity. The papers are both theoretical and empirical.

New Research in Corporate Finance and Banking

New Research in Corporate Finance and Banking PDF Author: Bruno Biais
Publisher: Oxford University Press, USA
ISBN: 9780199243235
Category : Business & Economics
Languages : en
Pages : 396

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Book Description
This text is a reflection of research carried out by European scholars into financial economics. Topics discussed include asset pricing in the context of perfect markets, take-over bids, and the interplay between banks and financial markets.

Continuous-Time Models in Corporate Finance, Banking, and Insurance

Continuous-Time Models in Corporate Finance, Banking, and Insurance PDF Author: Santiago Moreno-Bromberg
Publisher: Princeton University Press
ISBN: 1400889200
Category : Business & Economics
Languages : en
Pages : 176

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Book Description
Continuous-Time Models in Corporate Finance synthesizes four decades of research to show how stochastic calculus can be used in corporate finance. Combining mathematical rigor with economic intuition, Santiago Moreno-Bromberg and Jean-Charles Rochet analyze corporate decisions such as dividend distribution, the issuance of securities, and capital structure and default. They pay particular attention to financial intermediaries, including banks and insurance companies. The authors begin by recalling the ways that option-pricing techniques can be employed for the pricing of corporate debt and equity. They then present the dynamic model of the trade-off between taxes and bankruptcy costs and derive implications for optimal capital structure. The core chapter introduces the workhorse liquidity-management model—where liquidity and risk management decisions are made in order to minimize the costs of external finance. This model is used to study corporate finance decisions and specific features of banks and insurance companies. The book concludes by presenting the dynamic agency model, where financial frictions stem from the lack of interest alignment between a firm's manager and its financiers. The appendix contains an overview of the main mathematical tools used throughout the book. Requiring some familiarity with stochastic calculus methods, Continuous-Time Models in Corporate Finance will be useful for students, researchers, and professionals who want to develop dynamic models of firms' financial decisions.

Financial Innovation in Retail and Corporate Banking

Financial Innovation in Retail and Corporate Banking PDF Author: Luisa Anderloni
Publisher: Edward Elgar Publishing
ISBN: 1848447183
Category : Business & Economics
Languages : en
Pages : 353

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Book Description
Discusses through a blend of theory and empirical research, the processes of innovation and the diffusion of new financial instruments. This book explores theoretical issues such as the relationship among financial innovation and market structure and the legal protection of financial innovation.

Behavioral Corporate Finance

Behavioral Corporate Finance PDF Author: Hersh Shefrin
Publisher: College Ie Overruns
ISBN: 9781259254864
Category : Corporations
Languages : en
Pages : 300

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Book Description


New Challenges in Banking and Finance

New Challenges in Banking and Finance PDF Author: NESRIN ÖZATAÇ
Publisher: Springer
ISBN: 3319668722
Category : Business & Economics
Languages : en
Pages : 188

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Book Description
This volume presents current developments in the fields of banking and finance from an international perspective. Featuring contributions from the 2nd International Conference on Banking and Finance Perspectives (ICBFP), this volume serves as a valuable forum for discussing current issues and trends in the banking and financial sectors, especially in light of the global economic challenges triggered by financial institutions. Using the latest theoretical models, new perspectives are brought to topics such as e-finance and e-banking, Islamic banking, international cross-border regulatory cooperation, bank fraud, the global financial crisis, microfinance, and corporate control transactions. Offering an opportunity to explore the challenges of a rapidly changing industry, this volume will be of interest to academics, policy makers, and scholars in the fields of banking, insurance, and finance.

Corporate Governance Strengthening Latin American Corporate Governance The Role of Institutional Investors

Corporate Governance Strengthening Latin American Corporate Governance The Role of Institutional Investors PDF Author: OECD
Publisher: OECD Publishing
ISBN: 9264116052
Category :
Languages : en
Pages : 78

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Book Description
This report reflects long-term, in-depth discussion and debate by participants in the Latin American Roundtable on Corporate Governance.

New Trends in Finance and Accounting

New Trends in Finance and Accounting PDF Author: David Procházka
Publisher: Springer
ISBN: 3319495593
Category : Business & Economics
Languages : en
Pages : 823

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Book Description
This book presents the most current trends in the field of finance and accounting from an international perspective. Featuring contributions presented at the 17th Annual Conference on Finance and Accounting at the University of Economics in Prague, this title provides a mix of research methods used to uncover the hidden consequences of accounting convergence in the private (IFRS) and public sectors (IPSAS). Topics covered include international taxation (from both the micro- and macroeconomic level), international investment, monetary economics, risk management, management accounting, auditing, investment capital, corporate finance and banking, among others. The global business environment shapes the international financial flows of finance and the demand for international harmonization of accounting. As such, the field of global finance and accounting has encountered some new challenges. For example, policy-makers and regulators are forced to restructure their tools to tackle with new features of trading at global capital markets and international investment. This book complements this global view of development with country-specific studies, focusing on emerging and transitioning economies, which are affected indirectly and in unforeseen ways. The combination of global perspective and local specifics makes this volume attractive and useful to academics, researchers, regulators and policy-makers in the field of finance and accounting.

Papers on Banking and Finance

Papers on Banking and Finance PDF Author: Anonymous
Publisher: BoD – Books on Demand
ISBN: 338218043X
Category : Fiction
Languages : en
Pages : 182

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Book Description
Reprint of the original, first published in 1871. The publishing house Anatiposi publishes historical books as reprints. Due to their age, these books may have missing pages or inferior quality. Our aim is to preserve these books and make them available to the public so that they do not get lost.

Valuing Banks

Valuing Banks PDF Author: Federico Beltrame
Publisher: Springer
ISBN: 1137561424
Category : Business & Economics
Languages : en
Pages : 261

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Book Description
This book aims to overcome the limitations the variations in bank-specifics impose by providing a bank-specific valuation theoretical framework and a new asset-side model. The book includes also a constructive comparison of equity and asset side methods. The authors present a novel framework entitled, the “Asset Mark-down Model”. This method incorporates an Adjusted Present Value model, which allows practitioners to identify the main value creation sources of a particular bank: from asset-based cash flow and the mark-down on deposits, to tax benefits on bearing liabilities. Through the implementation of this framework, the authors offer a more accurate and more specific approach to valuing banks.