Governance Der Finanzm Rkte


Governance Der Finanzm Rkte
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Governance Der Finanzm Rkte


Governance Der Finanzm Rkte
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Author : Marco Jöstingmeier
language : de
Publisher: Springer-Verlag
Release Date : 2019-03-23

Governance Der Finanzm Rkte written by Marco Jöstingmeier and has been published by Springer-Verlag this book supported file pdf, txt, epub, kindle and other format this book has been release on 2019-03-23 with Social Science categories.


Marco Jöstingmeier analysiert die aktuellen Innovationen in der Finanzmarkt- und Bankenregulierung und zeigt, wie systemisches Risiko als neuartiges Problem in den Fokus der Bankenaufsicht rückt. Am Fall der makroprudenziellen Finanzaufsicht wird deutlich, wie neue Ansätze der Finanzmarktregulierung zunehmend reflexiv und lernorientiert operieren, um der Innovationsdynamik der Finanzwirtschaft folgen zu können. Diese reflexive Governance von Finanzmärkten demonstriert, wie innovative Governance-Methoden zugleich riskante Folgen erzeugen, wenn komplexen Problemlagen entsprechend komplexe Regulierungsansätze gegenübergestellt werden. Die makroprudenzielle Aufsicht ist damit ein Beispiel für ein zentrales Ordnungs- und Problemmuster der modernen Wissens- und Innovationsgesellschaft.



Corporate Governance Financial Markets And Global Convergence


Corporate Governance Financial Markets And Global Convergence
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Author : Morten Balling
language : en
Publisher: Springer Science & Business Media
Release Date : 1998

Corporate Governance Financial Markets And Global Convergence written by Morten Balling and has been published by Springer Science & Business Media this book supported file pdf, txt, epub, kindle and other format this book has been release on 1998 with Business & Economics categories.


The papers in this volume were presented in Budapest at the 20th Colloquium of the Société Universitaire Européenne de Recherches Financières (SUERF), arranged in association with the Robert Triffin-Szirák Foundation. Each paper deals with a different aspect of the characteristics of and trends in corporate governance. The three main topics are: Corporate governance of financial institutions; Corporate governance as exerted by financial institutions; Financial instutions as participants in the transfer of corporate governance. £/LIST£ The structure of financial markets and institutions has a significant impact on the ways in which the power to manage corporate resources is allocated. The relative roles of different types of owners and the legal framework within which they operate are currently in a state of flux throughout Europe. Financial integration in the European Union, the transition to open market economies in Central and Eastern Europe and privatization, have a profound effect on the behaviour and influence of different enterprises. This collection of papers demonstrates the range of aspects of corporate governance in a world characterized by rapid technological, political and institutional change which is currently concerning researchers and practitioners. The authors come from a wide number of countries and disciplines, and include people from leading banks and corporations, public officials and academics, providing different perspectives on corporate governance, financial markets and global convergence in eastern and western Europe. Their contributions will be of considerable interest to academics in the fields of finance and banking, monetary economics and macro-economics, and also to professionals in banks, securities houses, corporate treasuries, pension funds, consultancies, law firms, central banks and regulatory bodies.



Banks Capital Markets And Corporate Governance


Banks Capital Markets And Corporate Governance
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Author : Gerhard Pohl
language : en
Publisher: World Bank Publications
Release Date : 1994

Banks Capital Markets And Corporate Governance written by Gerhard Pohl and has been published by World Bank Publications this book supported file pdf, txt, epub, kindle and other format this book has been release on 1994 with Europa oriental - Sector financiero categories.




Digital Finance In Europe Law Regulation And Governance


Digital Finance In Europe Law Regulation And Governance
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Author : Emilios Avgouleas
language : en
Publisher: Walter de Gruyter GmbH & Co KG
Release Date : 2021-12-20

Digital Finance In Europe Law Regulation And Governance written by Emilios Avgouleas and has been published by Walter de Gruyter GmbH & Co KG this book supported file pdf, txt, epub, kindle and other format this book has been release on 2021-12-20 with Law categories.


Global finance is in the middle of a radical transformation fueled by innovative financial technologies. The coronavirus pandemic has accelerated the digitization of retail financial services in Europe. Institutional interest and digital asset markets are also growing blurring the boundaries between the token economy and traditional finance. Blockchain, AI, quantum computing and decentralised finance (DeFI) are setting the stage for a global battle of business models and philosophies. The post-Brexit EU cannot afford to ignore the promise of digital finance. But the Union is struggling to keep pace with global innovation hubs, particularly when it comes to experimenting with new digital forms of capital raising. Calibrating the EU digital finance strategy is a balancing act that requires a deep understanding of the factors driving the transformation, be they legal, cultural, political or economic, as well as their many implications. The same FinTech inventions that use AI, machine learning and big data to facilitate access to credit may also establish invisible barriers that further social, racial and religious exclusion. The way digital finance actors source, use, and record information presents countless consumer protection concerns. The EU’s strategic response has been years in the making and, finally, in September 2020 the Commission released a Digital Finance Package. This special issue collects contributions from leading scholars who scrutinize the challenges digital finance presents for the EU internal market and financial market regulation from multiple public policy perspectives. Author contributions adopt a critical yet constructive and solutions-oriented approach. They aim to provide policy-relevant research and ideas shedding light on the complexities of the digital finance promise. They also offer solid proposals for reform of EU financial services law.



European Agencies And Risk Governance In Eu Financial Market Law


European Agencies And Risk Governance In Eu Financial Market Law
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Author : Paul Weismann
language : en
Publisher: Routledge
Release Date : 2016-05-20

European Agencies And Risk Governance In Eu Financial Market Law written by Paul Weismann and has been published by Routledge this book supported file pdf, txt, epub, kindle and other format this book has been release on 2016-05-20 with Law categories.


The phenomenon of ‘agencification’ describes the EU legislator’s increasing establishment of European agencies to fulfil tasks in a variety of EU policies. The creation of these decentralised administrative entities raises a number of questions; for example, on the limits to such delegation of powers, on the agencies’ institutional development and possible classification, and on the role of comitology committees as an institutional alternative. This book examines the EU’s ‘agencification’ with regard to these questions, on the basis of and with reference to which the focus is laid on the European agencies operating in the field of financial market risk governance. This analysis not only encompasses the three European Financial Market Supervisory Authorities (the ESAs), but also takes into account the institutional change brought about by the Banking Union, more specifically the Single Supervisory Mechanism (SSM) and the Single Resolution Mechanism (SRM). While the SRM sets in place a new European agency, the Single Resolution Board (SRB), the SSM establishes and empowers a new body within the organisation of the European Central Bank (ECB), the Supervisory Board. By exploring the organisation, the tasks and the powers of these actors in financial market regulation and supervision, the book points at the current peak of the institutional development of European agencies and assesses organisation and unprecedented powers with a view to their compliance with EU law, in particular the Treaties and the respective case law of the European courts. As an evaluation of various aspects of the progressing centralisation of regulatory power on the EU level, which is exercised by an increasingly decentralised administrative apparatus, this book will be of great interest and use to students and scholars of EU law, financial law and regulation, and European politics.



Bank And Insurance Capital Management


Bank And Insurance Capital Management
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Author : Frans de Weert
language : en
Publisher: John Wiley & Sons
Release Date : 2010-12-13

Bank And Insurance Capital Management written by Frans de Weert and has been published by John Wiley & Sons this book supported file pdf, txt, epub, kindle and other format this book has been release on 2010-12-13 with Business & Economics categories.


In the aftermath of the financial crisis, capital management has become a critical factor in value creation for banks and other financial institutions. Although complex and subject to regulatory change, the strategic importance of capital management became apparent during the crisis and has moved the subject to the top of corporate agendas. Bank and Insurance Capital Management is an essential guide to help banks and insurance companies understand and manage their capital position. Bridging the gap between theory and practice, it provides proven techniques for managing bank capital, as well as explaining key capital management perspectives, including accounting, regulatory, risk and capital management and corporate finance. It also shows how to analyze a firm's stakeholders such as depositors, policy holders, debt holders and shareholders, and manage their expectations, and how to align risk and capital management so as to best optimize the return on capital and preserve capital in periods of stress. Economic capital is also discussed in depth, as are the practicalities of bank and insurance M&A, and the book also shows how financial innovations can be used to optimise the capital position and how diversification effects are reflected in the capital position. This book will arm readers with the knowledge and skills needed to understand how capital management can improve capital structure and performance, achieving an optimal cost of, and return on capital, creating value as a result.



Market Based Governance


Market Based Governance
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Author : John D. Donahue
language : en
Publisher: Rowman & Littlefield
Release Date : 2004-05-26

Market Based Governance written by John D. Donahue and has been published by Rowman & Littlefield this book supported file pdf, txt, epub, kindle and other format this book has been release on 2004-05-26 with Political Science categories.


The latest in a series exploring twenty-first-century governance, this new volume examines the use of market means to pursue public goals. ¡°Market-based governance¡± includes both the delegation of traditionally governmental functions to private players, and the importation into government of market-style management approaches and mechanisms of accountability. The contributors (all from Harvard University) assess market-based governance from four perspectives: The ¡°demand side¡± deals with new, revised, or newly important forms of interaction between government and the market where the public sector is the ¡°customer.¡± Chapters in this section include Steve Kelman on federal procurement reform, Karen Eggleston and Richard Zeckhauser on contracting for health care, and Peter Frumkin. The ¡°supply side¡± section deals with unsettled questions about government¡¯s role as a provider (rather than a purchaser) within the market system. Contributors include Georges de Menil, Frederick Schauer and Virginia Wise. A third section explores experiments with market-based arrangements for orchestrating accountability outside government by altering the incentives that operate inside market institutions. Chapters include Robert Stavins on market-based environmental policy, Archon Fung on ¡°social markets,¡± and Cary Coglianese and David Lazer. The final section examines both the upside and the downside of the market-based approach to improving governance. Contributors include Elaine Kamarck, John D. Donahue, Mark Moore, and Robert Behn. An introduction by John D. Donahue frames market-based governance as an effort to engineer into public work some of the ¡°intensive¡± accountability that characterizes markets without surrendering the ¡°extensive¡± accountability of conventional government. A preface by Joseph S. Nye Jr. sets the book in the context of a larger inquiry into the future of governance.



Capital Markets And Corporate Governance


Capital Markets And Corporate Governance
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Author :
language : en
Publisher:
Release Date : 1994

Capital Markets And Corporate Governance written by and has been published by this book supported file pdf, txt, epub, kindle and other format this book has been release on 1994 with Capital market categories.




Der Finanzmarkt Sind Wir


Der Finanzmarkt Sind Wir
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Author : Volker Schmitz
language : de
Publisher: epubli
Release Date : 2016-07-14

Der Finanzmarkt Sind Wir written by Volker Schmitz and has been published by epubli this book supported file pdf, txt, epub, kindle and other format this book has been release on 2016-07-14 with Business & Economics categories.


Warum noch ein Buch über den Finanzmarkt? Weil in der bisherigen Diskussion ein Beteiligter völlig zu kurz gekommen ist: der private Anleger. Zwar ist sein Schutz Thema jeder politischen Debatte und Ziel jeder Gesetzesänderung. Faktisch passiert wenig, um seine Position zu stärken. So haben die meisten privaten Anlegern seit der Finanzkrise das Gefühl, einem politisch-finanziellen Komplex gegenüberzustehen, der manchmal für sie, meist aber ohne sie über sie entscheidet. Das Buch zeigt die unterschiedlichen Interessen der Akteure auf dem Kapitalmarkt auf – am Beispiel der langfristigen Anlage im Aktienmarkt. Es bietet Ansatzpunkte für eigenverantwortliches Handeln, beschreibt, welche Bedingungen dafür notwendig sind und welche Konsequenzen sich daraus ergeben. Vor allem plädiert es für eine stärkere Beteiligung der privaten Anleger an der Kontrolle ihres Kapitals. Weil in einem demokratischen Kapitalmarkt die Kontrollrechte den Bürgern zustehen sollten, die an diesem Markt teilnehmen. In einer Zeit, die durch zunehmende Vermögensungleichheit geprägt ist, können wir die Entwicklung auf den Aktienmärkten nicht einer kleinen Gruppe von Vorständen und Finanzmanagern überlassen. Um soziale Konflikte zu vermeiden, braucht es einen breiten gesellschaftlichen Konsens. Die privaten Anleger mehr an der Kontrolle ihrer Kapitalanlagen zu beteiligen, kann eine demokratische Marktwirtschaft nur stärken.



Asset Management Standards


Asset Management Standards
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Author : Otto Loistl
language : en
Publisher: Springer
Release Date : 2016-01-12

Asset Management Standards written by Otto Loistl and has been published by Springer this book supported file pdf, txt, epub, kindle and other format this book has been release on 2016-01-12 with Business & Economics categories.


Asset management standards are crucial for building trust between investors and capital market experts. The issue of corporate governance has been thrown into the spotlight by the disastrous collapse of Enron and the implications for the industry. The proposed standards are relevant for the entire fund industry, regulators, providers of pension plans and portfolio managers. Produced in association with the European Federation of Financial Analysts Societies, this book aims to provide a well-founded basis for development of the content of asset management standards in the UK, the US and the EU. It contains a detailed overview of the current position, outlines planned developments and discusses underlying problems.