Financial Crisis

Eine schlagwort­basierte Auswahl unserer Fachbücher

Financial Crisis Supervision and Institutional Innovation (Dissertation)

Financial Crisis Supervision and Institutional Innovation

Studienreihe wirtschaftsrechtliche Forschungsergebnisse

This work examines the Great Depression of the 1930s and the financial crisis caused by the subprime mortage crisis from the angle of financial supervision. The author analyzes and compares the financial systems, the evolution mechanism and the causes of the financial crises. The study probes into the necessity of..

Money Markets and Monetary Policy Implementation in Times of Crisis (Doktorarbeit)

Money Markets and Monetary Policy Implementation in Times of Crisis

Wirtschaftspolitik in Forschung und Praxis

Money markets are the starting point for the transmission of monetary policy and are thus a central component within the financial and economic system. Yet, before August 2007, many central bankers, economists and researchers assumed that these markets work frictionless and empirical research on the functioning of..
The Influence of Advisors, Advisor-Customer Relationships, and the Financial Crisis on Satisfaction and Retention of Retail Banking Customers (Doktorarbeit)

The Influence of Advisors, Advisor-Customer Relationships, and the Financial Crisis on Satisfaction and Retention of Retail Banking Customers

Three Empirical Studies

Innovatives Dienstleistungsmanagement

For retail banks, as for other continuous service providers, CRM literature has focused on retention as the goal, given the higher profitability of customers who stay with the firm, when compared to newly attracted customers. Research has found a multitude of reasons for customers to stay with their firm, ranging..
Economy and Social Conditions in Transition (Tagungsband)

Economy and Social Conditions in Transition

Probleme und Chancen der Globalisierung

This book is interdisciplinary in scope, written for economists, educators, and for individuals working on the fields of globalization, and its impacts on societal development. The book analyzes the current economic and social development in selected countries with different economic conditions relative to the impact..
Dependency Modeling and Value-at-Risk Forecasts for Financial Portfolios (Doktorarbeit)

Dependency Modeling and Value-at-Risk Forecasts for Financial Portfolios

Finanzmanagement

Forecasting Value-at-Risk (VaR) for financial portfolios is a staggering task in financial risk management. The turmoil in financial markets as observed since September 2008 called for more complex VaR models, as "standard" VaR approaches failed to anticipate the collective market movements faced during the financial..

Literatur: Financial Crisis / Eine Auswahl an Fachbüchern aus dem Verlag Dr. Kovač