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Emerging research on monetary policy...
~
Birau, Ramona, (1986-)
Emerging research on monetary policy, banking, and financial markets
紀錄類型:
書目-電子資源 : Monograph/item
正題名/作者:
Emerging research on monetary policy, banking, and financial marketsby Cristi Spulbar and Ramona Birau.
作者:
Spulbar, Cristi,
其他作者:
Birau, Ramona,
出版者:
Hershey, Pennsylvania :IGI Global,c2019.
面頁冊數:
1 online resource (xx, 322 p.)
標題:
Monetary policy.
電子資源:
http://services.igi-global.com/resolvedoi/resolve.aspx?doi=10.4018/978-1-5225-9269-3
ISBN:
9781522592716 (ebk.)
Emerging research on monetary policy, banking, and financial markets
Spulbar, Cristi,1971-
Emerging research on monetary policy, banking, and financial markets
[electronic resource] /by Cristi Spulbar and Ramona Birau. - Hershey, Pennsylvania :IGI Global,c2019. - 1 online resource (xx, 322 p.)
Includes bibliographical references and index.
Section 1. Measuring effectiveness and efficiency of banking systems. Chapter 1. Determinants of bank cost efficiency in transition economies: evidence for Latin America, central and eastern Europe, and South-East Asia ; Chapter 2. The relationship between bank efficiency and risk and productivity patterns in the Romanian banking system ; Chapter 3. Efficiency in cooperative banks and savings banks: a stochastic frontier approach ; Chapter 4. Financial nexus: efficiency and soundness in banking and capital markets -- Section 2. The transmission mechanism of monetary policy: dynamics and perspectives. Chapter 5. Monetary policy transmission mechanism in Romania over the period 2001 to 2012: a BVAR analysis ; Chapter 6. Analysis of the monetary policy dynamics in Romania using a structural vector autoregressive model ; Chapter 7. Inflation inertia and inflation persistence in Romania using a DSGE approach -- Section 3. Understanding financial market behavior: empirical case studies. Chapter 8. Testing weak-form efficiency and long-term causality of the emerging capital markets in Romania, India, Poland, and Hungary ; Chapter 9. Modeling and estimating long-term volatility of stock markets in Romania, Poland, Greece, and USA ; Chapter 10. Analyzing long-term dynamic causal linkages and financial integration between the capital markets in Romania and Hungary ; Chapter 11. Estimating Long-term volatility on national stock exchange of India ; Chapter 12. Investigating international causal linkages between latin European Stock markets in terms of global financial crisis: a case study for Romania, Spain, and Italy ; Chapter 13. Modeling sp bombay stock exchange BANKEX index volatility patterns using GARCH model ; Chapter 14. Investigating causal linkages between international stock markets in Hungary and Austria in terms of economic globalization ; Chapter 15. Analyzing dynamic causal linkages between developed stock markets of Spain and Canada ; Chapter 16. The global implications of financial contagion in developed capital markets: evidence for USA, France, UK, and Germany ; Chapter 17. Investigating Long-term behavior of Milan Stock exchange (Italy).
"This book examines the latest research on monetary policy, banking, and financial markets"--
ISBN: 9781522592716 (ebk.)Subjects--Topical Terms:
182879
Monetary policy.
LC Class. No.: HG230.3 / .S68 2020
Dewey Class. No.: 332
Emerging research on monetary policy, banking, and financial markets
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Section 1. Measuring effectiveness and efficiency of banking systems. Chapter 1. Determinants of bank cost efficiency in transition economies: evidence for Latin America, central and eastern Europe, and South-East Asia ; Chapter 2. The relationship between bank efficiency and risk and productivity patterns in the Romanian banking system ; Chapter 3. Efficiency in cooperative banks and savings banks: a stochastic frontier approach ; Chapter 4. Financial nexus: efficiency and soundness in banking and capital markets -- Section 2. The transmission mechanism of monetary policy: dynamics and perspectives. Chapter 5. Monetary policy transmission mechanism in Romania over the period 2001 to 2012: a BVAR analysis ; Chapter 6. Analysis of the monetary policy dynamics in Romania using a structural vector autoregressive model ; Chapter 7. Inflation inertia and inflation persistence in Romania using a DSGE approach -- Section 3. Understanding financial market behavior: empirical case studies. Chapter 8. Testing weak-form efficiency and long-term causality of the emerging capital markets in Romania, India, Poland, and Hungary ; Chapter 9. Modeling and estimating long-term volatility of stock markets in Romania, Poland, Greece, and USA ; Chapter 10. Analyzing long-term dynamic causal linkages and financial integration between the capital markets in Romania and Hungary ; Chapter 11. Estimating Long-term volatility on national stock exchange of India ; Chapter 12. Investigating international causal linkages between latin European Stock markets in terms of global financial crisis: a case study for Romania, Spain, and Italy ; Chapter 13. Modeling sp bombay stock exchange BANKEX index volatility patterns using GARCH model ; Chapter 14. Investigating causal linkages between international stock markets in Hungary and Austria in terms of economic globalization ; Chapter 15. Analyzing dynamic causal linkages between developed stock markets of Spain and Canada ; Chapter 16. The global implications of financial contagion in developed capital markets: evidence for USA, France, UK, and Germany ; Chapter 17. Investigating Long-term behavior of Milan Stock exchange (Italy).
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http://services.igi-global.com/resolvedoi/resolve.aspx?doi=10.4018/978-1-5225-9269-3
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