Extent:
Online-Ressource (633 p)
Series:
Type of publication: Book / Working Paper
Language: English
Notes:
Description based upon print version of record
Finance in Asia Institutions, regulation and policy; Copyright; Contents; List of illustrations; Table of cases, statutes and conventions; Acknowledgements; About the authors; Introduction; I.1 Finance in Asia; I.2 Financial intermediation; I.3 Convergence?; I.4 The future of finance in Asia; I.5 Structure of the book; 1 Asia's development model; 1.1 Divergent results from development; 1.2 Asia's modern economic history; 1.3 Features of the development model; 1.4 Asia's economy today; 1.5 Conclusions and questions; 2 Finance in Asia; 2.1 Finance and development
2.2 Finance in the Asian development model2.3 The Asian financial crisis of 1997-98; 2.4 From regional to global crises; 2.5 The global financial crisis 2007-9; 3 Challenges to development and finance; 3.1 Weaknesses in the development model; 3.2 A generic view of intermediation; 3.3 Intermediation in Asia; 3.4 Intermediation in China; 4 Financial systems and practice: central banking, regulation and risk management; 4.1 Second generation financial systems: lessons from law and finance; 4.2 How does finance matter?; 4.3 Monetary policy and central banking
4.4 Financial stability, regulation and development4.5 Financial intermediaries and risk management; 5 Institutional foundations of finance; 5.1 Institutional foundations of finance; 5.2 Governance, legal systems and economic development; 5.3 The significance of property rights; 5.4 Collateral and creditor rights; 5.5 Insolvency; 5.6 Contract enforcement and dispute resolution; 6 Credit risk and commercial banking; 6.1 Utility banking; 6.2 Core commercial banking; 6.3 Medium-term credit; 6.4 Cash securitization; 7 Investment banking and financial innovation; 7.1 Origins
7.2 Investment and universal banking7.3 Markets in information and reputational capital; 7.4 Contracts and innovation; 7.5 Innovation in derivatives; 7.6 Asian investment banking; 7.7 The end of innovation?; 8 Debt securities, derivatives and complex transactions; 8.1 Debt contracts, loans and bonds; 8.2 Financial derivatives; 8.3 Credit derivatives and complex transactions; 9 Equity securities, organized exchanges and corporate governance; 9.1 Equity claims and capital markets; 9.2 Portfolio theory and financial globalization; 9.3 Organized exchanges; 9.4 Equity markets in Asia
9.5 Corporate governanceAppendix: the IPO process; 10 Mergers, acquisitions and corporate control; 10.1 Corporate change; 10.2 Finance and deal mechanics; 10.3 Activity in Asia; 10.4 Case study: ABN Amro Holding NV; 10.5 Prospects; 11 Non-bank and non-traditional intermediation; 11.1 Investor behaviour; 11.2 Traditional asset management; 11.3 Non-traditional intermediation; 11.4 Islamic finance; 12 Regional financial integration; 12.1 Concepts of integration; 12.2 State cooperation and governance; 12.3 Integration drivers; 12.4 Integration and development
12.5 Monetary and financial cooperation
Electronic reproduction; Available via World Wide Web
ISBN: 978-0-415-42320-5 ; 978-1-135-07298-8 ; 978-0-415-42320-5
Source:
ECONIS - Online Catalogue of the ZBW
Persistent link: https://www.econbiz.de/10011677557