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Financial Systems in Troubled Waters

Financial Systems in Troubled Waters : Information, Strategies, and Governance to Enhance Performances in Risky Times. 混乱状態の金融制度-危険な時代において 業績を高めるための情報、戦略、ガバナンス-

・ISBN 978-0-415-62879-2 2013 hard GB£ 171.99

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・ISBN 978-1-138-21537-5 2020 paper GB£ 43.99

¥13,935.- (税込) (※)価格はご注文時の参考価格となります。
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電子版あり 大学・学術機関向け電子ブック(eBook)ISBN 978-0-203-10079-0

著者・編者Carretta, Alessandro / Mattarocci, G. (eds.),
シリーズRoutledge International Studies in Money and Banking
出版社(Routledge, UK)
ページ数372 pp.
言語ENG
ニュース番号<597-397>

解説

This collection considers the financial crisis from a managerial perspective, focussing on the business implications for the financial industry. Topics examined include governance, information needs and strategy of financial intermediaries and investors. The contributions build on the existing literature and present some unique insights on governance, credit quality evaluation and performance measurement.

In a fast growing or steady market, it is possible for even an inefficient financial system to satisfy investors' and firms' needs. However, the current financial crisis has brought into sharp relief the limits of the inefficient practices adopted by the market, and made clear the importance of developing more effective governance mechanisms, more detailed and complete information databases and new strategies. The crisis has also brought to the fore issues about the governance of financial intermediaries that had not been previously addressed. These include board diversity, internal monitoring procedures and the existence of interlocking directorates.

More broadly, the financial crisis has radically altered the international framework, with an increasingly consolidated financial sector, and the rise of new markets (such as China) that now play a predominant role in the worldwide market. Studies on the competition and on the performance in this new scenario are essential in order to understand the implications of recent events.