CORPORATE FINANCE Transformations in Banking, Finance and Regulation - Vol 1
Transformations in Banking, Finance and Regulation
FINANCIAL TRANSFORMATIONS BEYOND THE COVID-19 HEALTH CRISIS
MODERN FINANCE AND RISK MANAGEMENT Festschrift in Honour of Hermann Locarek-Junge
BOOKS
edited by Sabri Boubaker (EM Normandie Business School, France) & Duc Khuong Nguyen (IPAG Business School, France)
edited by Tony Klein (Queen’s University Belfast, UK), Sven Loßagk (Saxon University of Cooperative Education, Dresden, Germany), Mario Straßberger (Zittau/Görlitz University of Applied Sciences, Germany) & Thomas Walther (Utrecht University, The Netherlands)
Financial Transformations Beyond the COVID-19 Health Crisis was specifically designed to provide the readers with new results, recent findings and future outlook on the impacts of COVID-19 on financial markets, firm behaviors, and finance and investment strategies. It favors multidimensional perspectives and brings together conceptual, empirical and policy-oriented chapters, using quantitative and qualitative methods alike. This is a timely and comprehensive collection of theoretical, empirical and policy contributions from renowned scholars around the world, and provides the thoughts and insights required to rethink the financial sector in the event of new shocks of the same nature.
Modern Finance and Risk Management is dedicated to our colleague, academic mentor, and adviser Professor Hermann Locarek-Junge. During his academic career, Hermann LocarekJunge published several important contributions to the field of risk management and portfolio management and served as the chairman and board member of the German Finance Association (DGF) and the Data Science Society (Gesellschaft für Klassifikation).
Featured Contents: COVID-19: Macroeconomic Effects: The Pandemic’s Pernicious Public Debt Legacy (Anthony J Makin); COVID-19: Stock Market Behavior: Extreme Events: What Stock Market Sectors Afraid more? (Veni Arakelian); COVID-19: Effects on Financial Institutions, Money, and Instruments: Insuring Against Pandemics: A Private Sector Instrument for the Private Sector (Marco Rossi); COVID-19: Implications for Corporate Governance and Finance: Does a High ESG Score Pay Off During the Pandemic Outbreak? (Jedrzej Bialkowski and Anna Slawik); Perspective Transformations in the Era of COVID-19: Two Questions on the Banking Sector after the Pandemic Hit (Magdalena Grothe, and Antonio S Serrano); and others.
Featured Contents: Aspects of Modern Finance: Confounding the Return Notions Could Be Dangerous (Günter Bamberg and Sebastian Heiden); The Growth of Social Banks, Investment Restrictions and Excess Liquidity Risk (Susanne Homölle, Nikolas Höhnke, Ulf Hübenbecker, and Philipp Winskowski); Aspects of Modern Risk Management: The Risk of the Unseen (Steffi Höse and Stefan Huschens); Objectification of Subjective Risk Assessments (Lars Hengmith and Sophia Licht); Aspects of Modern Commodity Finance: Oil and Stock Market Returns: Direction, Volatility, or Liquidity? (Harald Kinateder and Niklas Wagner); Risk Reduction by Law: An Assessment of the German Renewable Energy Sources Act (Sven Loßagk); and others.
Readership: Students or business studies, and practitioners and policymakers
Readership: Academics, researchers, postgraduate students and finance practitioners.
820pp 978-1-80061-077-4
460pp 978-1-80061-190-0
Apr 2022 US$198
£175 30
Advance Book Information • March – April 2022
May 2022 US$148
£120