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Financial Services: Efficiency and Risk Management
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Editors: Meryem Duygun Fethi (University of Leicester, UK), Chrysovalantis Gaganis (University of Crete, Greece), Fotios Pasiouras and Constantin Zopounidis (Technical University of Crete, Greece)
Book Description:
Over the last decade or so, firms in the financial services industry witnessed fundamental changes in their operating environment, such as deregulation, internationalization, technological innovations, mergers and acquisitions, and more recently a global financial crisis. This book discusses various issues that relate to those changes, while placing particular emphasis on aspects of efficiency and risk management. Topics that are discussed in the book include among others, mergers and acquisitions, liquidity in the interbank market, the evaluation of bank performance with multicriteria decision aid and frontier techniques, value-at-risk modeling, central clearing counterparties, mutual funds, and derivatives and earnings management. (Imprint: Nova)

Table of Contents:
Chapter 1. Consolidation and Performance in the EU Banking Industry: A Survey;pp. 1-40
(Hodian N Urio, Arusha Institute of Accountancy, Tanzania
Sailesh Tanna, Coventry University, UK)

Chapter 2. Assessing the Adverse Effects of Interbank Funds on Bank Efficiency Through Using Semiparametric and Nonparametric Methods;pp. 41-62
(Ahmet Faruk Aysan, Bogazici University, Department of Economics, Bebek, Istanbul, Turkey; Gürdal Erte, Sabancı University, Faculty of Engineering and Natural Sciences, Orhanlı, Tuzla, Istanbul, Turkey;
Seçil Öztürk, Bogazici University, Department of Economics, Bebek, Istanbul, Turkey)

Chapter 3. One-Stage Approaches and Two-Stage Approaches in Data Envelopment Analysis: How Appropriate Are They for Analyzing Business Process Efficiency?;pp. 63-92
(Anne Dohmen, Frankfurt School of Finance & Management
Matteo Sottocornola, Frankfurt School of Finance & Management)

Chapter 4. Measurement of Commercial Banks Performance in EU Countries: A Multi-Criteria Approach;pp. 93-138
(Christos Lemonakis, Department of Production Engineering and Management, Technical University of Crete, Greece; Ioannis Strikos, Department of Economics, University of Portsmouth, Portsmouth, UK;
Constantin Zopounidis, Technical University of Crete, Financial Engineering Laboratory, Greece)

Chapter 5. Market Crashes and Basel Regulations. The Case of Developed, Emerging and Frontier Stock Markets;pp. 139-162
(Adrián F. Rossignolo, University of Leicester, UK)

Chapter 6. An Analysis of European Central Counterparty Clearing;pp. 163-185
(Alessandra Tanda, Cattolica University, Italy)

Chapter 7. Do Greek Mutual Funds Investing Abroad Outperform?;pp. 187-203
(Stephanos Papadamou and Konstantina Kiriazi, Dept. of Economics, University of Thessaly, Volos, Hellas, Greece)

Chapter 8. Accounting Choice Theory: Derivatives Fair Value in Banks in Brazil;pp. 205-229
(Bruna Perlingeiro Iannazzo, University of Sao Paulo
Luiz Nelson Guedes de Carvalho, University of Sao Paulo
Gerlando Augusto S. Franco de Lima, University of Sao Paulo
Iran Siqueira Lima, University of Sao Paulo, Brazil)

Index

   Series:
      Studies in Financial Optimization and Risk Management - Series Editor - Prof. Constantin Zopounidis (Technical University of Crete)
   Binding: Hardcover
   Pub. Date: 2012 1st quarter
   Pages: 7 x 10 (NBC - C) 242pp.
   ISBN: 978-1-62100-560-5
   Status: AV
  
Status Code Description
AN Announcing
FM Formatting
PP Page Proofs
FP Final Production
EP Editorial Production
PR At Prepress
AP At Press
AV Available
  
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