This text comprises a selection of papers that provide state-of-the-art insights into research focusing on dimensions of bank strategy, governance and the role of credit rating agencies that were presented at the European Association of University Teachers of Banking and Finance Conference, September 2010.
A diversity of empirical studies is presented, examining various implications of the credit crisis - including governance issues and the role of rating agencies.
págs. 1-7
págs. 8-32
págs. 33-48
págs. 49-71
The Governance of Executive Remuneration during the Crisis: Evidence from Italy
Marcello Bianchi, Angela Ciavarella, Valerio Novembre, Rossella Signoretti
págs. 72-93
págs. 94-108
Are the Ratings Good Indicators of the Creditworthiness of the Entities that Qualify?
Carlos Salvador Muñoz, José Manuel Pastor Monsálvez, Juan Fernández de Guevara Radoselovics
págs. 109-133
The Information Content of Sovereign Watchlist and Outlook: S&P versus Moody's
págs. 134-156
págs. 157-193
Attitudes, Personality Factors and Household Debt Decisions: A Study of Consumer Credit
págs. 194-216
An Insight into Suitability Practice: Is a Standard Questionnaire the Answer?
págs. 217-245
The Business of Clearing Cash Equities in Europe: Market Dynamics and Trends
págs. 246-274
págs. 275-299
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