Abstract

Bank Stability, Sovereign Debt and Derivatives is a collection of papers originally presented at the European Association of University Lecturers of Banking and Finance Conference in August 2012. The book makes important contributions to the literature on European banking and financial system by providing in-depth descriptive analysis, sound theoretical frameworks, and constructive policy lessons. It will interest economists, bankers, corporate finance officers, and policymakers. Although the research in each chapter mainly focuses on the European banking system or European corporate finance issues, it has applications to the United States and other countries with economic features similar to Europe.

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