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Banking Business Models
Definition, Analytical Framework and Financial Stability Assessment
Buch von Rym Ayadi
Sprache: Englisch

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Beschreibung
This book is a result of several years of research to provide readers with a novel and comprehensive analysis on business models in banking, essential to understanding bank businesses pre- and post- financial crisis and how they evolve in the financial system. This book will provide depositors, creditors, credit rating agencies, investors, regulators, supervisors, and other market participants with a comprehensive analytical framework and analysis to better understand the nature of risk attached to the bank business models and its contribution to systemic risk throughout the economic cycle. The book will also guide post-graduate students and researchers delving into this topic.
This book is a result of several years of research to provide readers with a novel and comprehensive analysis on business models in banking, essential to understanding bank businesses pre- and post- financial crisis and how they evolve in the financial system. This book will provide depositors, creditors, credit rating agencies, investors, regulators, supervisors, and other market participants with a comprehensive analytical framework and analysis to better understand the nature of risk attached to the bank business models and its contribution to systemic risk throughout the economic cycle. The book will also guide post-graduate students and researchers delving into this topic.
Über den Autor

Rym Ayadi is Honorary Professor at CASS Business School, Member of the Centre for Banking Research (CBR) at the City University in London, UK, and President of the Euro-Mediterranean Economists Association in Barcelona.

She is a member of several high-level expert groups in the European Commission including the Financial Services Users Group (FSUG), an academic member of the European Banking Authority (EBA) Stakeholders Group (BSG), an external advisor to the European Parliament on both the Economic and Financial Committee and Committee on Foreign Affairs, an advisor to the Parliamentary Assembly of the Mediterranean (PAM) and the Union for the Mediterranean (UfM), and an invited expert in international organisations including OECD and IMF, among others.

Rym's fields of expertise include international financial systems, financial markets and institutions, global financial regulation and governance, and socio-economic development and foresight in economies in transition. Previously, Rym served as Professor of International Business and Finance at the Department of International Business, Director and Board Member of the Alphonse and Dorimène Desjardins Institute for Cooperatives, and Founding Director of the International Research Centre on Cooperative Finance (IRCCF) at HEC Montreal, Canada, and a Senior Research Fellow and Head of Research of the Financial Institutions Unit at the Centre for European Policy Studies (CEPS), a policy think tank in Brussels.

Zusammenfassung

Delivers a complete novel analysis on business models in banking

Provides market participants, depositors, creditors, regulators and supervisors with a useful tool to better understand the nature of risk attached to each bank business model

Offers a unique framework to assess systemic risk in banking using the business model analysis

Inhaltsverzeichnis

1. Introduction.- 2. Changing Role of Banks in the Financial System.- 3. Defining a Business Model in Banks.- 4. Identification of Business Models.- 5. Bank Business Models and Financial Stability Assessment.- 6. Business Models, Ownership, Organisational Structures and Size.- 7. Migration of Business Models.- 8. Performance of Business Models.- 9. Risk of Business Models.- 10. Regulation and Business Models.- 11. Resolution and Business Models.- 12. Conclusions.

Details
Erscheinungsjahr: 2019
Fachbereich: Einzelne Wirtschaftszweige
Genre: Wirtschaft
Rubrik: Recht & Wirtschaft
Medium: Buch
Seiten: 208
Reihe: Palgrave Macmillan Studies in Banking and Financial Institutions
Inhalt: xviii
183 S.
18 s/w Illustr.
183 p. 18 illus.
ISBN-13: 9783030022471
ISBN-10: 3030022471
Sprache: Englisch
Herstellernummer: 978-3-030-02247-1
Ausstattung / Beilage: HC runder Rücken kaschiert
Einband: Gebunden
Autor: Ayadi, Rym
Auflage: 1st ed. 2019
Hersteller: Springer International Publishing
Palgrave Macmillan Studies in Banking and Financial Institutions
Maße: 216 x 153 x 16 mm
Von/Mit: Rym Ayadi
Erscheinungsdatum: 06.05.2019
Gewicht: 0,388 kg
preigu-id: 114402310
Über den Autor

Rym Ayadi is Honorary Professor at CASS Business School, Member of the Centre for Banking Research (CBR) at the City University in London, UK, and President of the Euro-Mediterranean Economists Association in Barcelona.

She is a member of several high-level expert groups in the European Commission including the Financial Services Users Group (FSUG), an academic member of the European Banking Authority (EBA) Stakeholders Group (BSG), an external advisor to the European Parliament on both the Economic and Financial Committee and Committee on Foreign Affairs, an advisor to the Parliamentary Assembly of the Mediterranean (PAM) and the Union for the Mediterranean (UfM), and an invited expert in international organisations including OECD and IMF, among others.

Rym's fields of expertise include international financial systems, financial markets and institutions, global financial regulation and governance, and socio-economic development and foresight in economies in transition. Previously, Rym served as Professor of International Business and Finance at the Department of International Business, Director and Board Member of the Alphonse and Dorimène Desjardins Institute for Cooperatives, and Founding Director of the International Research Centre on Cooperative Finance (IRCCF) at HEC Montreal, Canada, and a Senior Research Fellow and Head of Research of the Financial Institutions Unit at the Centre for European Policy Studies (CEPS), a policy think tank in Brussels.

Zusammenfassung

Delivers a complete novel analysis on business models in banking

Provides market participants, depositors, creditors, regulators and supervisors with a useful tool to better understand the nature of risk attached to each bank business model

Offers a unique framework to assess systemic risk in banking using the business model analysis

Inhaltsverzeichnis

1. Introduction.- 2. Changing Role of Banks in the Financial System.- 3. Defining a Business Model in Banks.- 4. Identification of Business Models.- 5. Bank Business Models and Financial Stability Assessment.- 6. Business Models, Ownership, Organisational Structures and Size.- 7. Migration of Business Models.- 8. Performance of Business Models.- 9. Risk of Business Models.- 10. Regulation and Business Models.- 11. Resolution and Business Models.- 12. Conclusions.

Details
Erscheinungsjahr: 2019
Fachbereich: Einzelne Wirtschaftszweige
Genre: Wirtschaft
Rubrik: Recht & Wirtschaft
Medium: Buch
Seiten: 208
Reihe: Palgrave Macmillan Studies in Banking and Financial Institutions
Inhalt: xviii
183 S.
18 s/w Illustr.
183 p. 18 illus.
ISBN-13: 9783030022471
ISBN-10: 3030022471
Sprache: Englisch
Herstellernummer: 978-3-030-02247-1
Ausstattung / Beilage: HC runder Rücken kaschiert
Einband: Gebunden
Autor: Ayadi, Rym
Auflage: 1st ed. 2019
Hersteller: Springer International Publishing
Palgrave Macmillan Studies in Banking and Financial Institutions
Maße: 216 x 153 x 16 mm
Von/Mit: Rym Ayadi
Erscheinungsdatum: 06.05.2019
Gewicht: 0,388 kg
preigu-id: 114402310
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