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Banking, Finance, and Accounting: Concepts, Methodologies, Tools, and Applications. IGI Global,2014. — 1593 p.. 2014

The constantly changing landscape of Banking, Finance, and Accounting challenges experts and practi­tioners to stay apprized of the field’s most up-to-date research. That is why Business Science Reference is pleased to offer this three-volume reference collection that will empower students, researchers, and academicians with a strong understanding of critical issues within Banking, Finance, and Accounting by providing both broad and detailed perspectives on cutting-edge theories and developments in the field. This collection is designed to act as a single reference source on conceptual, methodological, organiza­tional, and managerial issues, as well as provide insight into emerging trends and future opportunities within the discipline.

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Section 1 Fundamental Concepts and Theories
Chapter 1Project Initiation: Investment Analysis for Sustainable Development
Chapter 2 Innovation and Competitiveness: An Exploratory Study on Turkish Financial Sector
Chapter 3 Internet Banking Adoption by the Customers of Private Sector Banks in India
Chapter 4 Causality between Credit Deposit Ratio and Credit Share in Major Indian States during 1972 -2008
Chapter 5 Production, Trade, Knowledge Economy, and ICTs in Arab Countries
Chapter 6 The State-Based Factors Affecting Inward FDI Employment in the US
Chapter 7 The Situation of Knowledge Economy in the Arab and EEE Regions
Chapter 8 Investment and Development Banks and Strategies in Turkey
Chapter 9 International Evidence on Financing of R&D
REGRESSION ANALYSIS
Chapter 10 Factors Driving Value Creation in Online B2B Bankin
LITERATURE REVIEW
DEVELOPMENT OF RESEARCH FRAMEWORK AND HYPOTHESES
Chapter 11 Overview of Mobile Payment: Technologies and Security
Chapter 12 Liquidity Management in the Large Value Payment Systems: Need for an Agent-Based Model’s Complex Approach
Chapter 13 Financial Distress and Bankruptcy Costs
THE PROCESSES OF THE FAILLURE
Definition of the CONCEPT OF FAILURE
Chapter 14 IT Security Governance in E-Banking
Chapter 15 Systemic Risk, Stress Testing, and Financial Contagion: Their Interaction and Measurement
RESULTS
APPENDIX: GENERATION OF CONSISTENT SCENARIOS
Chapter 16 Behavioral Finance in Theory and Practice
MAIN FOCUS OF THE CHAPTER
Section 2 Development and Design Methodologies
Chapter 17 Drop-Out Risk Measurement of E-Banking Customers
LITERATURE REVIEW
METHODOLOGICAL ISSUES
ANALYSIS OF RESULTS: MODEL ESTIMATION AND VALUATION
Chapter 18 Modeling the FX Market Traders’ Behavior: An Agent-Based Approach
DESIGN ROUTES WITH REGARD TO ABM
DATA DESCRIPTION
STYLIZED FACTS OF TRADERS' BEHAVIOUR
MODEL OF FX MARKET TRADING ACTIVITY
Chapter 19 A Competitive Approach to Financial Issues: Modern Finance Theory
MAIN FOCUS OF THE CHAPTER
CHALLENGES TO THE EFFICIENT MARKET HYPOTHESIS
Chapter 20 Impact of NPAs on Bank Profitability: An Empirical Study
Chapter 21 Enhancement of Efficiency and Effectiveness in Banking through CRM Systems: A Case of Indian Banking Industry
Chapter 22 A Game Theoretic Approach to Corporate Lending by the Banksin India
Chapter 23 Money Supply: Predictive Analytics in India
Chapter 24 A Conceptual Framework for Online Stock Trading Service Adoption
Chapter 25 Structural Models for E-Banking Adoption in Vietna
BACKGROUND
STRUCTURAL MODELS FOR E-BANKING ADOPTION IN VIETNAM
Chapter 26 International Stock Investment Portfolio Management Strategies for Emerging Economies
Chapter 27 Monetary Policy Instruments and Bank Risks in China
Section 4 Managerial Impact
Section 5 Critical Issues
Section 6 Emerging Trends
More financial literature on Economics.Studio

Books and textbooks on the discipline Finance and credit:

  1. Alsharari Nizar Mohammad (ed.). Banking and Accounting Issues. ITexLi,2022. — 175 p. - 2022 ãîä
  2. Hare C., Neo D. (eds.). Trade Finance: Technology, Innovation and Documentary Credit. Oxford University Press,2021. — 417 p. - 2021 ãîä
  3. Fligstein Neil. The Banks Did It: An Anatomy of the Financial Crisis. Harvard University Press,2021. — 334 p. - 2021 ãîä
  4. Cline W.. The Right Balance for Banks. Peterson Institute for International Economics,2017. — 281 p. - 2017 ãîä
  5. Fridson M., Alvarez F.. Financial Statement Analysis. John Wiley & Sons, Inc.,2002. — 413 p - 2002 ãîä