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Maintaining financial stability in times of risk and uncertainty / Abhishek Behl and Sushma Nayak, editors.

EBSCOhost Academic eBook Collection (North America) Available online

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Format:
Book
Contributor:
Behl, Abhishek, 1987- editor.
Nayak, Sushma, 1982- editor.
Language:
English
Subjects (All):
Finance, Public.
Risk management.
Uncertainty.
Physical Description:
25 PDFs (xxiii, 377 pages)
Place of Publication:
Hershey, PA : IGI Global, [2019]
System Details:
Mode of access: World Wide Web.
Summary:
"This book explores perspectives on how risks and uncertainties affect the financial stability of individuals and institutions. It contains a serious study of the origins and effects of unpredictable events on individuals and on society and explores how to establish financial stability and security. It offers solutions to mitigate risk and achieve financial resilience under uncertainty"-- Provided by publisher.
Contents:
Chapter 1. Deposit insurance: pre-emptive expediency against bank runs or propulsion of moral hazard? economic and political implications in India
Chapter 2. Maintaining financial stability in the banking sector: the case of Turkey
Chapter 3. Measurement of economic and banking stability in emerging markets by considering income inequality and nonperforming loans
Chapter 4. Fragility of the Spanish banking system and financial exclusion: lessons learned from the global crisis and new challenges for the 21st century banking sector
Chapter 5. The effects of macroprudential policies on financial stability in Developing Countries
Chapter 6. The threat of ponzi schemes: an Asian perspective
Chapter 7. India towards a cashless economy
Chapter 8. Importance of risk management and risk management process
Chapter 9. Behavioral strategies to achieve financial stability in uncertain times
Chapter 10. Addressing financial risks and uncertainties through financial literacy education: recommendations, resources, and results
Chapter 11. Social media analytics for maintaining financial stability
Chapter 12. Farm debt waiver in India: an ephemeral palliative or an enduring risk management tool? a SAP-LAP analysis
Chapter 13. Agricultural risk management through contract farming ventures: an exploration of cross-country evidences
Chapter 14. Evaluating emerging Indian retail scenario: consumer preferences, perceived risks, and uncertainties store brands vs. national brands
Chapter 15. Financial risk analysis for crude oil buried pipeline system.
Notes:
Description based on print version record.
Includes bibliographical references and index.
ISBN:
1-5225-7209-0
OCLC:
1076735495

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