Handbook Of Global Financial Markets: Transformations, Dependence, And Risk Spillovers

Handbook Of Global Financial Markets: Transformations, Dependence, And Risk Spillovers

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  • Author: Sabri Boubaker
  • Publisher: World Scientific
  • ISBN: 9813236663
  • Category : Business & Economics
  • Languages : en
  • Pages : 828

The objective of this handbook is to provide the readers with insights about current dynamics and future potential transformations of global financial markets. We intend to focus on four main areas: Dynamics of Financial Markets; Financial Uncertainty and Volatility; Market Linkages and Spillover Effects; and Extreme Events and Financial Transformations and address the following critical issues, but not limited to: market integration and its implications; crisis risk assessment and contagion effects; financial uncertainty and volatility; role of emerging financial markets in the global economy; role of complex dynamics of economic and financial systems; market linkages, asset valuation and risk management; exchange rate volatility and firm-level exposure; financial effects of economic, political and social risks; link between financial development and economic growth; country risks; and sovereign debt markets.


Handbook of Key Global Financial Markets, Institutions, and Infrastructure

Handbook of Key Global Financial Markets, Institutions, and Infrastructure

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  • Author:
  • Publisher: Academic Press
  • ISBN: 0124058981
  • Category : Business & Economics
  • Languages : en
  • Pages : 634

Understanding twenty-first century global financial integration requires a two-part background. The Handbook of Key Global Financial Markets, Institutions, and Infrastructure begins its description of how we created a financially-intergrated world by first examining the history of financial globalization, from Roman practices and Ottoman finance to Chinese standards, the beginnings of corporate practices, and the advent of efforts to safeguard financial stability. It then describes the architecture itself by analyzing its parts, such as markets, institutions, and infrastructure. The contributions of sovereign funds, auditing regulation, loan markets, property rights, compensation practices, Islamic finance, and others to the global architecture are closely examined. For those seeking substantial, authoritative descriptions and summaries, this volume will replace books, journals, and other information sources with a single, easy-to-use reference work. Substantial articles by top scholars sets this volume apart from other information sources Diverse international perspectives result in new opportunities for analysis and research Rapidly developing subjects will interest readers well into the future


Financial Spillovers to Emerging Markets During the Global Financial Crisis

Financial Spillovers to Emerging Markets During the Global Financial Crisis

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  • Author: Nathaniel Frank
  • Publisher: International Monetary Fund
  • ISBN:
  • Category : Business & Economics
  • Languages : en
  • Pages : 22

In this paper potential financial linkages between liquidity and bank solvency measures in advanced economies and emerging market (EM) bond and stock markets are analyzedduring the latest crisis. A multivariate GARCH model is estimated in order to gauge the extent of co-movements of these financial variables across markets. The findings indicate that the notion of possible de-coupling (in the financial markets) had been misplaced. While EM stock markets reached their peak in the last quarter of 2007, interlinkages between funding stress and equity markets in advanced economies and EM financial indicators were highly correlated and have seen sharp increases during specific crisis moments.


Emerging Tools and Strategies for Financial Management

Emerging Tools and Strategies for Financial Management

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  • Author: Álvarez-García, Begoña
  • Publisher: IGI Global
  • ISBN: 1799824411
  • Category : Business & Economics
  • Languages : en
  • Pages : 357

Over the past years, significant changes have occurred in the corporate sector arising from globalization, increasing international competitiveness, and intensive use of information and communication technologies (ICTs). These developments have led to new corporate and social behaviors that are affecting the entire corporate value chain. Thus, business organizations are focusing on technological innovation as a driving force of development. Emerging Tools and Strategies for Financial Management is a pivotal reference source that explores both practical and theoretical perspectives on how financial management is evolving and how future consequences of technological innovation will affect individuals, businesses, and society. While highlighting topics such as financial imbalance, venture capital, and shadow banking, this publication explores the relationship between companies and their customers and the methods of generating changes in today’s enterprises. This book is ideally designed for business managers, financial analysts, financial controllers, directors, finance officers, treasurers, entrepreneurs, CEOs, academicians, students, and research professionals.


Global Financial Markets, 1/Ed.

Global Financial Markets, 1/Ed.

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  • Author: Ian H. Giddy
  • Publisher:
  • ISBN: 9789374734681
  • Category : Capital market
  • Languages : en
  • Pages : 583


Geofinance between Political and Financial Geographies

Geofinance between Political and Financial Geographies

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  • Author: Silvia Grandi
  • Publisher: Edward Elgar Publishing
  • ISBN: 1789903858
  • Category : Business & Economics
  • Languages : en
  • Pages : 264

This edited collection explores the boundaries between political and financial geographies, focusing on the linkages between the changing strategies, policies and institutions of the state. It also investigates banks and other financial institutions affected by both state policies and a globalizing financial system, and the financial resources available to firms as well as households. In so doing, the book highlights how an empirical focus on the semi-periphery of the financial system may generate new perspectives on the entanglement between (geo) politics and finance.


Advances in Data Science and Computing Technologies

Advances in Data Science and Computing Technologies

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  • Author: Basabi Chakraborty
  • Publisher: Springer Nature
  • ISBN: 981993656X
  • Category : Technology & Engineering
  • Languages : en
  • Pages : 738

This book presents selected research papers on current developments in artificial intelligence (AI) and data sciences from the International Conference on Advances in Data Science and Computing Technologies, ADSC 2022. The book covers topics such as soft computing techniques, AI, optical communication systems, application of Internet of Things, hybrid and renewable energy sources, cloud and mobile computing, deep machine learning, data networks & securities. The book discusses various aspects of these topics, e.g., technological considerations, product implementation, and application issues. The volume will serve as a reference resource for researchers and practitioners in academia and industry.


International Macroeconomics in the Wake of the Global Financial Crisis

International Macroeconomics in the Wake of the Global Financial Crisis

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  • Author: Laurent Ferrara
  • Publisher: Springer
  • ISBN: 3319790757
  • Category : Business & Economics
  • Languages : en
  • Pages : 298

This book collects selected articles addressing several currently debated issues in the field of international macroeconomics. They focus on the role of the central banks in the debate on how to come to terms with the long-term decline in productivity growth, insufficient aggregate demand, high economic uncertainty and growing inequalities following the global financial crisis. Central banks are of considerable importance in this debate since understanding the sluggishness of the recovery process as well as its implications for the natural interest rate are key to assessing output gaps and the monetary policy stance. The authors argue that a more dynamic domestic and external aggregate demand helps to raise the inflation rate, easing the constraint deriving from the zero lower bound and allowing monetary policy to depart from its current ultra-accommodative position. Beyond macroeconomic factors, the book also discusses a supportive financial environment as a precondition for the rebound of global economic activity, stressing that understanding capital flows is a prerequisite for economic-policy decisions.


Global Waves of Debt

Global Waves of Debt

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  • Author: M. Ayhan Kose
  • Publisher: World Bank Publications
  • ISBN: 1464815453
  • Category : Business & Economics
  • Languages : en
  • Pages : 403

The global economy has experienced four waves of rapid debt accumulation over the past 50 years. The first three debt waves ended with financial crises in many emerging market and developing economies. During the current wave, which started in 2010, the increase in debt in these economies has already been larger, faster, and broader-based than in the previous three waves. Current low interest rates mitigate some of the risks associated with high debt. However, emerging market and developing economies are also confronted by weak growth prospects, mounting vulnerabilities, and elevated global risks. A menu of policy options is available to reduce the likelihood that the current debt wave will end in crisis and, if crises do take place, will alleviate their impact.


Financial Crises Explanations, Types, and Implications

Financial Crises Explanations, Types, and Implications

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  • Author: Mr.Stijn Claessens
  • Publisher: International Monetary Fund
  • ISBN: 1475561008
  • Category : Business & Economics
  • Languages : en
  • Pages : 66

This paper reviews the literature on financial crises focusing on three specific aspects. First, what are the main factors explaining financial crises? Since many theories on the sources of financial crises highlight the importance of sharp fluctuations in asset and credit markets, the paper briefly reviews theoretical and empirical studies on developments in these markets around financial crises. Second, what are the major types of financial crises? The paper focuses on the main theoretical and empirical explanations of four types of financial crises—currency crises, sudden stops, debt crises, and banking crises—and presents a survey of the literature that attempts to identify these episodes. Third, what are the real and financial sector implications of crises? The paper briefly reviews the short- and medium-run implications of crises for the real economy and financial sector. It concludes with a summary of the main lessons from the literature and future research directions.