Banking Sector Globalization in India - 8 Angebote vergleichen
Preise | 2015 | 2019 | 2020 |
---|---|---|---|
Schnitt | € 71,47 | € 76,83 | € 76,90 |
Nachfrage |
1
Banking Sector Globalization in India (2015)
~EN PB NW
ISBN: 9783659578267 bzw. 3659578266, vermutlich in Englisch, LAP LAMBERT Academic Publishing, Taschenbuch, neu.
Lieferung aus: Österreich, Versandfertig in 4 - 6 Tagen.
This innovative book critically deals with how liberalization and global integration have increased banking fragility in India. Since early nineties, banking and currency crises have rocked the world. These crises involved huge resolution costs and it became priority of governments and policy makers to avert them by adopting pre-emptive measures. One chapter in the book identifies banking crisis episodes in India and designs an early warning system for crisis prediction. Another chapter makes a macro-prudential analysis of the default risk of Indian banks and assesses how external and domestic factors impact bank asset quality. Stress tests examine resilience of banks in the event of the most extreme but plausible macroeconomic shocks. A broad chapter also relates to bank stock volatility in contemporary global financial market and determines risk sensitivity of bank stocks. Based on analytical findings in the book, several policy implications and measures on how to cope with banking fragility have been discussed. The book is an essential read for students, researchers and public policy professionals who are interested in globalization and bank vulnerability in emerging economies. Taschenbuch, 29.04.2015.
This innovative book critically deals with how liberalization and global integration have increased banking fragility in India. Since early nineties, banking and currency crises have rocked the world. These crises involved huge resolution costs and it became priority of governments and policy makers to avert them by adopting pre-emptive measures. One chapter in the book identifies banking crisis episodes in India and designs an early warning system for crisis prediction. Another chapter makes a macro-prudential analysis of the default risk of Indian banks and assesses how external and domestic factors impact bank asset quality. Stress tests examine resilience of banks in the event of the most extreme but plausible macroeconomic shocks. A broad chapter also relates to bank stock volatility in contemporary global financial market and determines risk sensitivity of bank stocks. Based on analytical findings in the book, several policy implications and measures on how to cope with banking fragility have been discussed. The book is an essential read for students, researchers and public policy professionals who are interested in globalization and bank vulnerability in emerging economies. Taschenbuch, 29.04.2015.
2
Banking Sector Globalization in India
DE NW
ISBN: 9783659578267 bzw. 3659578266, in Deutsch, neu.
Lieferung aus: Deutschland, zzgl. Versandkosten.
This innovative book critically deals with how liberalization and global integration have increased banking fragility in India. Since early nineties, banking and currency crises have rocked the world. These crises involved huge resolution costs and it became priority of governments and policy makers to avert them by adopting pre-emptive measures. One chapter in the book identifies banking crisis episodes in India and designs an early warning system for crisis prediction. Another chapter makes a macro-prudential analysis of the default risk of Indian banks and assesses how external and domestic factors impact bank asset quality. Stress tests examine resilience of banks in the event of the most extreme but plausible macroeconomic shocks. A broad chapter also relates to bank stock volatility in contemporary global financial market and determines risk sensitivity of bank stocks. Based on analytical findings in the book, several policy implications and measures on how to cope with banking fragility have been discussed. The book is an essential read for students, researchers and public policy professionals who are interested in globalization and bank vulnerability in emerging economies.
This innovative book critically deals with how liberalization and global integration have increased banking fragility in India. Since early nineties, banking and currency crises have rocked the world. These crises involved huge resolution costs and it became priority of governments and policy makers to avert them by adopting pre-emptive measures. One chapter in the book identifies banking crisis episodes in India and designs an early warning system for crisis prediction. Another chapter makes a macro-prudential analysis of the default risk of Indian banks and assesses how external and domestic factors impact bank asset quality. Stress tests examine resilience of banks in the event of the most extreme but plausible macroeconomic shocks. A broad chapter also relates to bank stock volatility in contemporary global financial market and determines risk sensitivity of bank stocks. Based on analytical findings in the book, several policy implications and measures on how to cope with banking fragility have been discussed. The book is an essential read for students, researchers and public policy professionals who are interested in globalization and bank vulnerability in emerging economies.
3
Banking Sector Globalization in India
~EN NW AB
ISBN: 9783659578267 bzw. 3659578266, vermutlich in Englisch, neu, Hörbuch.
Lieferung aus: Niederlande, Lieferzeit: 5 Tage, zzgl. Versandkosten.
This innovative book critically deals with how liberalization and global integration have increased banking fragility in India. Since early nineties, banking and currency crises have rocked the world. These crises involved huge resolution costs and it became priority of governments and policy makers to avert them by adopting pre-emptive measures. One chapter in the book identifies banking crisis episodes in India and designs an early warning system for crisis prediction. Another chapter makes a macro-prudential analysis of the default risk of Indian banks and assesses how external and domestic factors impact bank asset quality. Stress tests examine resilience of banks in the event of the most extreme but plausible macroeconomic shocks. A broad chapter also relates to bank stock volatility in contemporary global financial market and determines risk sensitivity of bank stocks. Based on analytical findings in the book, several policy implications and measures on how to cope with banking fragility have been discussed. The book is an essential read for students, researchers and public policy professionals who are interested in globalization and bank vulnerability in emerging economies.
This innovative book critically deals with how liberalization and global integration have increased banking fragility in India. Since early nineties, banking and currency crises have rocked the world. These crises involved huge resolution costs and it became priority of governments and policy makers to avert them by adopting pre-emptive measures. One chapter in the book identifies banking crisis episodes in India and designs an early warning system for crisis prediction. Another chapter makes a macro-prudential analysis of the default risk of Indian banks and assesses how external and domestic factors impact bank asset quality. Stress tests examine resilience of banks in the event of the most extreme but plausible macroeconomic shocks. A broad chapter also relates to bank stock volatility in contemporary global financial market and determines risk sensitivity of bank stocks. Based on analytical findings in the book, several policy implications and measures on how to cope with banking fragility have been discussed. The book is an essential read for students, researchers and public policy professionals who are interested in globalization and bank vulnerability in emerging economies.
4
Banking Sector Globalization in India - Vulnerability and Challenges
~EN PB NW
ISBN: 9783659578267 bzw. 3659578266, vermutlich in Englisch, LAP Lambert Academic Publishing, Taschenbuch, neu.
Lieferung aus: Deutschland, Versandkostenfrei.
Banking Sector Globalization in India: This innovative book critically deals with how liberalization and global integration have increased banking fragility in India. Since early nineties, banking and currency crises have rocked the world. These crises involved huge resolution costs and it became priority of governments and policy makers to avert them by adopting pre-emptive measures. One chapter in the book identifies banking crisis episodes in India and designs an early warning system for crisis prediction. Another chapter makes a macro-prudential analysis of the default risk of Indian banks and assesses how external and domestic factors impact bank asset quality. Stress tests examine resilience of banks in the event of the most extreme but plausible macroeconomic shocks. A broad chapter also relates to bank stock volatility in contemporary global financial market and determines risk sensitivity of bank stocks. Based on analytical findings in the book, several policy implications and measures on how to cope with banking fragility have been discussed. The book is an essential read for students, researchers and public policy professionals who are interested in globalization and bank vulnerability in emerging economies. Englisch, Taschenbuch.
Banking Sector Globalization in India: This innovative book critically deals with how liberalization and global integration have increased banking fragility in India. Since early nineties, banking and currency crises have rocked the world. These crises involved huge resolution costs and it became priority of governments and policy makers to avert them by adopting pre-emptive measures. One chapter in the book identifies banking crisis episodes in India and designs an early warning system for crisis prediction. Another chapter makes a macro-prudential analysis of the default risk of Indian banks and assesses how external and domestic factors impact bank asset quality. Stress tests examine resilience of banks in the event of the most extreme but plausible macroeconomic shocks. A broad chapter also relates to bank stock volatility in contemporary global financial market and determines risk sensitivity of bank stocks. Based on analytical findings in the book, several policy implications and measures on how to cope with banking fragility have been discussed. The book is an essential read for students, researchers and public policy professionals who are interested in globalization and bank vulnerability in emerging economies. Englisch, Taschenbuch.
5
Banking Sector Globalization in India
~EN PB NW
ISBN: 3659578266 bzw. 9783659578267, vermutlich in Englisch, LAP Lambert Academic Publishing, Taschenbuch, neu.
Die Beschreibung dieses Angebotes ist von geringer Qualität oder in einer Fremdsprache. Trotzdem anzeigen
6
Banking Sector Globalization in India
EN NW
ISBN: 9783659578267 bzw. 3659578266, in Englisch, OmniScriptum GmbH & Co. KG, OmniScriptum GmbH & Co. KG, neu.
Lieferung aus: Vereinigte Staaten von Amerika, zzgl. Versandkosten, Free Shipping on eligible orders over $25.
Die Beschreibung dieses Angebotes ist von geringer Qualität oder in einer Fremdsprache. Trotzdem anzeigen
Die Beschreibung dieses Angebotes ist von geringer Qualität oder in einer Fremdsprache. Trotzdem anzeigen
7
Banking Sector Globalization in India (2015)
~EN PB NW
ISBN: 9783659578267 bzw. 3659578266, vermutlich in Englisch, Taschenbuch, neu.
Lieferung aus: Deutschland, Next Day, Versandkostenfrei.
Die Beschreibung dieses Angebotes ist von geringer Qualität oder in einer Fremdsprache. Trotzdem anzeigen
Die Beschreibung dieses Angebotes ist von geringer Qualität oder in einer Fremdsprache. Trotzdem anzeigen
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