Description
This book presents an in-depth appreciation of key topics related to the behaviour of financial institutions in the crisis and stresses areas of major research interest. It covers a selection of papers specialising ranging from the analysis of bank and stock market performance in the crisis, to other areas such as microinsurance and social lending. Edited By Juan Fernndez de Guevara Radoselovics and Jos Pastor Monslvez Introduction; J.F.de Guevara & J.M.Pastor Financial Stability and Economic Growth; S.C.Valverde & L.Pedauga Financial Crisis and EU Banks’ Performance; T.Lindblom & M.Willesson Diversification, Diversity and Systemic Risk in European Banking; P.Morelli , G.B.Pittaluga & E.Seghezza Basel III, Pillar 2: The Role of Banks’ Internal Control Systems; E.Gualandri Shadow Banking and Systemic Risk: In Search for Regulatory Solutions; G.A.Vento & P.la Ganga Social Lending in Europe: Structures, Regulation and Pricing Models; M.La Torre & F.Mango Banks Ratings, Financial Crisis and Size of the Entities; C.Salvador , J.M.Pastor & J.F.de Guevara Stock Exchanges Mergers at the Aftermath of the Crisis. New Insights; M.Polato & J.Floreani Sustainability and Financial Inclusion on the Microinsurance; M.de la Cuesta , C.Ruza & F.J.Garayoa




