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International banking for a new century / Irene Finel-Honigman and Fernando B. Sotelino.

By: Contributor(s): Material type: TextTextLanguage: English Publisher: London ; New York, NY : Routledge, 2015Description: xi, 256 pages ; 23 cmContent type:
  • text
Media type:
  • unmediated
Carrier type:
  • volume
ISBN:
  • 0415681332 (pbk.)
  • 9780415681339 (pbk.)
Subject(s): DDC classification:
  • 332.1/5
LOC classification:
  • HG 3881 F495i 2015
Contents:
1 Introductory Overview 2 International Wholesale Banking 3 International Individual Banking 4 Bank Failure and Systemic Crises 5 Sovereign Debt Crises 6 Bank Regulation and Supervision 7 Managing Risk and Measuring Performance 8 Borders vs. Scale: the Search for the Ideal Organization 9 Public vs. Private Sector Banking 10 Globalized Criminal Activities: Role and Responsibility of International Banks 11 Global Banking Trends Post-Crisis
Summary: This new textbook provides an up-to-date overview of international banking as the second decade of the twenty-first century unfolds. Integrating geo-economic, operational, institutional and regulatory changes in the financial sector, the volume's methodology incorporates specific case studies and research, combining theory with practical examples to illustrate the impact and consequences of past and present financial crises. The volume considers the core aspects of international banking, including its structural and technical features, historical context, institutional evolution in core markets, and wholesale, retail, investment and private banking. It uses specific examples from past and present literature, post-2008 case studies and histories, and research materials, offering a fully updated overview of how international banks respond to global crises, the origin, efficacy and evolution of financial markets, and the regulatory framework within which they function. One chapter is devoted to the evolution and potential of new markets, including the financial sectors of the BRICS and other emerging economies. Each chapter examines background, causes, impact and resolution, focusing on specific cases and their broader implications for the sector.  This textbook is a guide to the new, and at times unchartered, landscape to be navigated by large domestic, cross-regional and global banks, and will be invaluable reading for students of finance, business and economics, as well as for those in the financial sector.
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Holdings
Item type Current library Home library Collection Shelving location Call number Copy number Status Date due Barcode
Libro Libro Biblioteca Juan Bosch Biblioteca Juan Bosch Ciencias Sociales Ciencias Sociales (3er. Piso) HG 3881 F495i 2015 (Browse shelf(Opens below)) 1 Available 00000160044

Includes bibliographical references (pages 224-233) and index.

1 Introductory Overview
2 International Wholesale Banking
3 International Individual Banking
4 Bank Failure and Systemic Crises
5 Sovereign Debt Crises
6 Bank Regulation and Supervision
7 Managing Risk and Measuring Performance
8 Borders vs. Scale: the Search for the Ideal Organization
9 Public vs. Private Sector Banking
10 Globalized Criminal Activities: Role and Responsibility of International Banks
11 Global Banking Trends Post-Crisis

This new textbook provides an up-to-date overview of international banking as the second decade of the twenty-first century unfolds. Integrating geo-economic, operational, institutional and regulatory changes in the financial sector, the volume's methodology incorporates specific case studies and research, combining theory with practical examples to illustrate the impact and consequences of past and present financial crises.

The volume considers the core aspects of international banking, including its structural and technical features, historical context, institutional evolution in core markets, and wholesale, retail, investment and private banking. It uses specific examples from past and present literature, post-2008 case studies and histories, and research materials, offering a fully updated overview of how international banks respond to global crises, the origin, efficacy and evolution of financial markets, and the regulatory framework within which they function.

One chapter is devoted to the evolution and potential of new markets, including the financial sectors of the BRICS and other emerging economies. Each chapter examines background, causes, impact and resolution, focusing on specific cases and their broader implications for the sector. 

This textbook is a guide to the new, and at times unchartered, landscape to be navigated by large domestic, cross-regional and global banks, and will be invaluable reading for students of finance, business and economics, as well as for those in the financial sector.

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