Finance in Central and Southeastern Europe /

This book describes specific problems and proposes solutions for different areas of finance in Central and Southeastern European countries. Covering a broad spectrum of topics, from monetary economics and electronic money to capital markets, banking and insurance, it comprises theoretical and empiri...

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Bibliographic Details
Corporate Authors: SpringerLink (Online service)
Group Author: Goi , Sre ko (Editor); Karasavvoglou, Anastasios (Editor); Polychronidou, Persefoni (Editor)
Published: Springer International Publishing : Imprint: Springer,
Publisher Address: Cham :
Publication Dates: 2017.
Literature type: eBook
Language: English
Series: Contributions to economics, 1431-1933
Subjects:
Online Access: http://dx.doi.org/10.1007/978-3-319-64662-6
Summary: This book describes specific problems and proposes solutions for different areas of finance in Central and Southeastern European countries. Covering a broad spectrum of topics, from monetary economics and electronic money to capital markets, banking and insurance, it comprises theoretical and empirical contributions by authors from nine countries - Poland, Slovakia, Croatia, Bosnia and Herzegovina, Romania, Bulgaria, Montenegro, Serbia and Greece. Intended for academics as well as policy makers and practitioners it offers new perspectives on Central and Southeastern European finance research.
Carrier Form: 1 online resource (XIV, 171 pages): illustrations.
ISBN: 9783319646626
CLC: F275
Contents: Is monetary policy really forward-looking? The case of the Czech Republic, Poland and Hungary -- A study of the possible consequences in the event of an accelerated issuance and widespread use of private e-money - A case study of Montenegro -- What drives a local currency away from banking markets? Some Southeast Europe insights -- Exposure to exchange rate risk and competitiveness: An application to South-Eastern Europe -- Cointegration analysis of non-performing loans and macroeconomic conditions -- Explaining CSR performance with contextual factors: focus on development banks -- Interdependence between indicators used for identifying impending bankruptcy and selected indicators -- Credit risk and bank profitability - case of Croatia -- New role of mutual insurers on the insurance market -- Delistings from the athens stock exchange recent evolutions. .