Bank Performance, Risk and Securitisation brings together the latest research on banking, financial markets, and the recent financial crisis. Written by a group of leading scholars, it offers both empirical and theoretical perspectives on topics such as Basel III and bank efficiency; microcredit securitization; asset-backed securitization and credit risk; asset management issues in sovereign wealth funds. It also examines the impact of the new structural liquidity rules on the profitability of EU banks and examines China's controlled potential property bubble and its economic slowdown. The book provides state-of-the-art scholarly research on bank performance, risk and securitisation and is essential reading for scholars, researchers, graduate students and consulting firms interested in banking and financial markets.Roberto Bottiglia is a full professor in Banking and Finance at the University of Verona, Italy, where he teaches Bank Management. He graduated in Business Administration from Bocconi University of Milan. Research topics include agriculturalanbsp;...
|Title||:||Bank Performance, Risk and Securitisation|
|Publisher||:||Palgrave Macmillan - 2013-10-25|