Handbook of key global financial markets, institutions and infrastructure:
Gespeichert in:
Format: | Buch |
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Sprache: | English |
Veröffentlicht: |
Boston, Mass. [u.a.]
Elsevier
2013
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Ausgabe: | 1. ed. |
Schlagworte: | |
Online-Zugang: | Inhaltsverzeichnis Inhaltsverzeichnis |
Beschreibung: | XXII, 611 S. graph. Darst., Kt. |
ISBN: | 0123978734 9780123978738 |
Internformat
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245 | 1 | 0 | |a Handbook of key global financial markets, institutions and infrastructure |c ed.-in-chief Gerard Caprio |
246 | 1 | 3 | |a Key global financial markets, institutions and infrastructure |
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adam_text | Titel: Handbook of key global financial markets, institutions, and infrastructure
Autor: Caprio, Gerard
Jahr: 2013
Contents
Editors-in-Chief V Credit and Private Finance 53
Summary 55
bection bditors vu
Preface xvii 6. Chinese Money and Monetary System, 1800-2000,
Contributors xxi Overview
D. MA
A Conceptual Framework 58
--------------------------------------------------------------------------------------- 1800-50 59
GLOBALIZATION OF FINANCE: i85o-i9ii 60
AN HISTORICAL VIEW l9nu 30 61
1930-49 62
1. History of Financial Globalization, Overview Acknowledgments 63
C.W. CALOMIRIS AND L. NEAL ? Dutch Bank Financ 1600_1800
2. Banking Fragility, United States, 1790-2009
CHARLES W. CALOMIRIS An Exchange Bank 67
Introduction 15 The First Five Decades 67
Banking Fragility in Theory and in Historical Reality 15 Fiat Money 86
US Banking Crises: 1790-1933 18 Monetary Policy 68
Central Banking and Bank Instability in US History 21 Eighteenth Century 69
Summary of US Historical Experience 25 Conclusion 70
A Worldwide Tale of Two Banking Eras: 1875-1913 and
1978-2009 25 8. Dutch Corporate Finance, 1602-1850
A. DE JONG, ]. JONKER, AND A. ROELL
3. Bretton Woods and Monetary Regimes
S.C. KNIGHT Introduction 73
From Partnerships to Chartered Public Companies, 1602-1680 74
Introduction 31 Branching Out, 1680-1795 78
Types and Examples of Monetary Regimes 32 New Challenges, 1795-1850 81
The Classical Gold Standard 33 Conclusion 82
The Interwar Years, the Gold-Exchange Standard, and the Great
Depression 34 9. The Financial Revolution in England
Bretton Woods and the Anglo-American Compromise 35 A.L. MURPHY
Conclusion 37
Introduction 85
4- British Corporate Finance, 1500-1860 The Origins of the Financial Revolution in England 85
A.M. CARLOS The Development of the Instruments of State Debt 87
Controlling the Costs of Debt 89
World in 1500 39 The Question of Credibility 91
Impact of the Voyages of Discovery 40 The Consequences of England s Financial Revolution 93
Emergence of the Joint-Stock Company 41
Rise of the Secondary Market in Shares 43 10. Commercial Finance in Europe, 1700-1815
War Financing - State and Capital Markets 44 C. JOBST AND P. NOGUES-MARCO
Into the Nineteenth Century 45
Introduction 95
5. Chinese Finance, 1348-1700 The Instrument: Bills of Exchange 96
R. VON GLAHN What Is a Bill of Exchange? 96
Usury Regulation and True Interest Rates 96
Public and Private Finance in China, 1000-1700 47 Bullion Versus Bills 97
The Monetary System 47 City-Currencies 97
Public Finance 50 Sources 98
Mapping Commercial Finance 98 15. Alexander Hamilton
Quotes as Evidence for Liquidity in the Underlying Market 98 R SYLLA
Determinants of Liquidity 98
Networks of Financial Financing 99 Introduction 151
The Geographical Reach of European Finance 99 Hamilton s Origins 152
Hierarchies, Distance, and Groups 100 War and Finance 152
Some Tentative Hypotheses 102 The Confederation Interim 153
The Cost of Commercial Finance: Searching for Interest Rate 103 Secretary of the Treasury 154
The Absence of Direct Evidence on Interest Rates 103 Public Credit 155
Shadow Interest Rates Based on Bills with Different The Bank of the United States 156
Maturities 103 The Dollar 157
Time-Series Evidence: Cycles, Seasonality, and Long State Banks, Corporations, and Securities Markets 157
Trends 103 Conclusion: The US Financial Revolution and Economic
Conclusion 104 Growth 158
16. Hanseatic Merchants and Credit, 1300-1700
11. Exchanges, Rules Governing
L. NEAL Introduction 161
Origins of Banking in Northern Germany 161
France l(jy Credit Instruments in the Fifteenth and Sixteenth Centuries 162
Germany 110 Immigration and Innovation 164
Great Britain 110 The Adaptation of Western Credit Instruments in the Baltic
Owners Versus Operators 112 Trade 165
United States 113 Conclusion 166
12. French Corporate Finance, 1500-1900 17 John Law and his Experiment with France,
1715-1726
L. NEAL
F.R. VELDE
13. Genoese Finance, 1348-1700 The Beginnings 169
C.MARSILIO The Pinnacle 171
The Debacle 171
Introduction 123 The Impact 172
The Origins of the Genoese Public Debt (Twelfth-Twenty-fourth See also 173
Centuries) 123
The Birth of the Officium Comperarum Sancti Georgii 125 18. Low Countries Finance, 1348-1700
The Governance of the Office of Saint George 127 O. GELDERBLOM AND J. JONKER
The Birth of the Republic of Genoa 128
The Banking Activity of the House of Saint George 128 Introduction 175
The Genoese Exchange Fairs 129 Common Origins 176
The New Debt of the Republic: The Creation of the Monti 129 Going Separate Ways: The Dutch Revolt 177
Conclusion 130 Holland s Exceptionalism 179
See also 131 Entering a Vicious Debt Circle 180
Constrained by Local Particularism: The Austrian
14. The Political Economy of Global Financial
Liberalization in Historical Perspective
r. esteves 19. Milanese Finance, 1348-1700
G. DE LUCA
Introduction 133
What Is There to Explain? 134 The Viscontis and the Emergence of a Tax State (Mid-Fourteenth
Theory 135 Century to 1447) 185
Second-Best Arguments 136 The Consolidation of the Government Financing System Between
Political Economy 138 the Ambrosiana Republic and the Sforzas (1447-1535) 187
History 141 The Rise of a Fiscal State Under the Habsburgs (1535-1706) 189
Prewar 141 Architecture and Dynamic of the Fiscal System 189
Interwar 145 Public Debt and Financial Market 191
Conclusion 147 A New Perspective on Spanish Domination 194
Acknowledgments 148 See also 195
Netherlands 181
Conclusion 182
20. Finance in the Ottoman Empire, 1453-1854 23. Rentes and the European Financial Revolution
P. §EVKET J.H. MUNRO
Introduction 197 Chief Features of the Modern Financial Revolution 235
Money, Credit, and Islam 198 The Geographic Origins of the Financial Revolution :
Business Partnerships 199 Public Finances in the Low Countries and France 236
Flexibility in the Monetary System 200 The Historical Origins of the Rente Contracts: In Private
Fiscal Institutions and Public Finance 200 Agricultural Finance 236
Linkages with Western European Capital Markets? 202 The Usury Doctrine and the Revival of the Anti-Usury
From Debasements to Bimetallism 203 Campaign 237
Financing the State: The Galata Bankers 204 The Relationship Between Franco-Flemish Urban Rentes
Conclusion 205 and the Anti-Usury Campaign in the
See also 205 Thirteenth Century 238
The Ecclesiastical Debate About the Usurious or Licit Nature of
Rentes 239
21. 1 apal Finance, 1348-1848 Payments to Rentiers in Later-Medieval Flemish Towns 239
F. PIOLA CASELLI The Development of a Permanent Funded National Debt in
Early-Modern France 240
The Making of the Papal States 207 The Development of Permanent Funded National Debts in Spain
The Avignon Financial Network 207 (Castile) 240
Balance Sheets and Accountancy 208 The Public Finances of the Later Medieval Italian City States: Forced
Spiritual and Temporal Revenue 208 Loans 241
Bankers in the Chamber Service 209 Protestant England and the Usury Question 242
The Role of Public Debt 210 The Beginnings of the English Financial Revolution, from
The Set Course of Public Debt 210 1693 243
Prices and Earnings on the Secondary Market 211 Excise Taxes in Funding the English National Debt 243
Aristocracy and Institutions in the Debt Game 211 The Three Sisters and the English National Debt 244
From Pawnshops to Public Banks 212 The Role of Annuities in the English National Debt
The Growth of Financial Structures 213 (to 1719-20) 244
Tax Policy 213 The Aftermath of the South Sea Bubble and Pelham s Conversion:
Town Tolls Increase 214 1721-57 244
Monetary System 215 Economic Contributions of the Financial Revolution 245
Early Curial Reforms 215 See also 245
The Times of Decline 216 Appendix Yields on Perpetual Rents, Life Rents, and
The Spread of Paper Money 216 Loans 245
Approaching Free Trade 216
The New Tolls Belt at the Borders 217
Financial Collapse and Recovery 218 24- Ancient Roman Finance
See also 219 P. TEMIN
22. Precious Metals and Moneys, 1200-1800 25. Spanish Finance, 1348-1700
D.O. RYNN M. DRELICHMAN
Islamic Market Unification; Chinese Silver Exports During the Introduction 259
Mongol Period 221 Political Organization 260
Intensification of Chinese Silverization from the Mid-Fifteenth Crown and Kingdom 260
Century 221 Nobility 260
The First Global Cycle of Silver (1540-1640): Bimetallic Ratios and The Church 261
the Silver-for-Gold Trade 223 Dominions and Colonies 261
The First Global Cycle of Silver (1540-1640): The Role of Revenues 261
Japan 225 Direct Taxes 261
The First Global Cycle of Silver (1540-1640): Spanish-American Indirect Taxes 261
Silver 226 American Silver 262
Globalization s Sixteenth-Century Birth and Subsequent Debt 263
Ramifications 227 Juros 263
The Mexican Cycle of Silver (1700-1750) and American Crops and Asientos 264
Seeds 228 Bankruptcies 265
Conclusions 232 See also 267
26. The Financial Revolution in Sweden, 1650-1900 International Accounting Standards Board 329
A.6GREN SeeaJSO 332o
Conclusion 332
Introduction 269 Acknowledgment 332
The Swedish Financial Revolution 270
The State: Monetary Authority and Public Debt 271 31. Contemporary Audit Regulation - Going Global!
Monetization, Clearing, and Market Integration 273 c HUMPHREY AND A. LOFT
The Banking System 274
Secondary Markets, Mortgage Associations, and Insurance Introduction: Audit Regulation 333
Companies 277 Key Players in the Audit Regulatory Arena 334
Conclusions 279 The International Federation of Accountants 334
See also 279 Financial Stability Board 334
International Organization of Securities Commissions 335
27. Global Financial Brands and the Underwriting of The European Union 336
Foreign Government Debt since 1815 Associations of Independent Audit Regulators 337
M. FLANDREAU, J.H. FLORES, N. GAILLARD, AND S. NIETO-PARRA The Global Regulatory Involvement of Audit Firms 337
The Global Regulatory Involvement of National Professional
Introduction 281 Accounting Bodies 338
Focus, Figures, and Facts 283 Audit Regulation and Audit Quality 339
Focus 283 Regulatory Compliance and Enforcement 340
Figures 283 Conclusion: Maintaining Public Interest in Global Regulation 342
Facts 285 See also 342
Prospecting 286 Appendix Abbreviations 343
Planning 287
Placing 291 32. Justifications for Audits of Financial Statements
Post-Issue Support and Performance 293 A. BROWN AND J. RONEN
Conclusion: The Global Financial System as a Structured
Product 296 Introduction 345
Acknowledgments 298 Justifications for Financial Statement Audits 345
The Justification for Government Intervention into Auditing 346
28. Venetian Finance, 1400-1797 The Implementation of External Audits 347
L. PEZZOLO Auditing After the Securities Acts 347
The Structure and Growth of the Industry 349
Revenues 301 Competition Rules Change in the 1970s 350
Taxation 302 Modern Firm Structure 351
Taxpayers 303 Competing Incentives for Firms in the 1990s 352
Financial Needs 303 Sarbanes-Oxley Act of 2002 353
Public Debt 305 The Future of Auditing 354
The Floating Debt 308
See also 309 33. Global Banks and Financial Intermediaries
29. Wars and the International Trading System,
1900-2000 Introduction 357
H. ROCKOFF The Standard Model of Banking 357
Banking in the Postwar Period 358
See also 318 The Emergence of a New Banking System 359
II
Distinctive Features of Modern Banking 360
Reliance on Money Market Funding 360
Securitization 361
The Growth of Off-Balance Sheet Activities 363
Conclusion 366
KEY MARKET, INSTITUTIONS, AND
INFRASTRUCTURE IN GLOBAL
FINANCE 34. Corporate Governance
A.N. LICHT
30. Development of Accounting Standards
S.A. ZEFF Basic Concepts 369
What is Corporate Governance? 369
United States 323 The Agency Problem and Opportunism 370
United Kingdom, Canada, Australia, France, Germany, and A Strategic Approach 370
Japan 327 The Nature of the Corporation 371
Corporate Governance as a System 371 Who Cares About Earnings Quality? 392
A Social Institution 371 What Affects Earnings Quality? 392
Comparative Corporate Governance 371 Can Investors See Through the Quality Veil? 395
Measuring Corporate Governance 372 Are Things Getting Better? 396
Internal Institutions 372 And Earnings Quality Around the World? 397
The CEO 373 From Descriptive to Prescriptive: How to Assess Earnings
The Board 373 Quality? 397
The General Meeting 375 Conclusion 400
External Institutions 376 Acknowledgments 400
Formal Legal Institutions 376
Informal Institutions 377 37 Exchanges
35. Credit Ratings and Credit Rating Agencies brummer and a.p. march
U.G. SCHROETER Exchanges and Their Evolution 401
The Purpose and Benefits of Exchanges 402
Introduction 379 The Floor Model 402
Credit Ratings 379 Electronic lrading 403
Credit ratings as subjective, predictive opinions 380 Exchange-Traded Instruments 405
Credit ratings as global information: rating symbols and
Equity 405
Debt 405
Derivatives 405
reports 380
Credit risk as the sole subject of credit ratings 381
Credit Rating Agencies 381 Organization and Governance or Exchanges 406
Objects of Credit Ratings 381 The Traditional Role of Broker-Dealers: Mutuality 406
Borrowing Entities 382
Debt Securities 382
Demutualization 406
Regulation of Exchanges 407
Structured Finance 382 Exchanges as belt-Regulated Organizations 407
Sovereigns and Sovereign Debt 383 Regulation Under the 34 Act: Registration Requirements 408
Business Models or Credit Rating Agencies 383 Best Execution and the National Market System 408
Investor-Pays Model 383 Best Execution 408
Issuer-Pays Model 383 The National Market System 409
Conflict of interest 384 Globalization and 1 ransnational Exchanges 409
Potential effects or the conflict or interest 384
Mixed Business Model 384
Functions of Credit Ratings and Credit Rating Agencies 385 38. Equity Markets
Market Information Function 385 D. WOJC1K
Regulatory Function 385
Market Structure and Competition 386 Definition, Structure, and Functions of Equity Markets 413
Oligopolistic Market Structure 386 Evolution of Equity Markets 414
Theoretical Explanations 386 Equity Markets Around the World 416
Prevailing theoretical explanation 386 Globalization and Localization 418
Alternative explanation: the credit rating market as an The Future of Equity Markets 420
investor-driven natural oligopoly 387 See also 421
Regulation of Credit Rating Agencies 387
Constitutional Protection of Credit Rating Agencies as a Limit to 39. Fair Value and Accounting
Regulation 388 P.WALTON
Governmental Recognition or Admission of Credit Rating
Agencies 388 Introduction 423
Recognition requirements for purposes of regulatory The Purpose of the Balance Sheet 424
function 388 pair Value Measurement Standards 424
Admission requirements 388 Fair Value and Historical Cost Accounting 425
Regulation of Credit Rating Agency s Organization and Rating Assets That Generate Cash Directly 425
Process; Transparency Requirements 389 Fair Value and Cash Generation 425
Regulation through Civil Liability 389 Specific Assets 426
See also 389 Fair value and financial instruments 426
Investment property 427
36. Earnings Quality Pension plan assets 427
B. LEV Other Assets at Fair Value 428
Biological assets 428
A Case in Point 391 Property, plant and equipment 428
What Exactly Is Earnings Quality? 391 Inventory 428
Fair Value and the Financial Crisis 428 Definition and cost-plus pricing 467
Calm Before the Storm 429 Examples of use 467
Shooting the Messenger 429 Islamic Bonds (Sukuk) and Securitization 468
The Standard-Setter Responds 430 Definition of Sukuk 468
Fair Value and Financial Instruments After the Crisis 430 How Sukuk Work 468
A New International Standard 431 Insurance (Takaful) and Transfers (Hawalah) 469
Rejigging the US Requirements 431 Definition of Takaful 469
Full Fair Value Financial Statements 431 Modern Takaful and Concerns About Gharar and Riba
Conclusion 432 (Interest) 469
How Modern Takaful Works 470
40. Fair Value Accounting, Disclosure and Financial The insured Pa»y also called the participant or policy
c u-iv holder 470
Stability
The operator 470
RJ-HERRING The beneficiary 470
New Islamic Products: Sharfa Compliant Investment Funds 472
Defining Islamic Investments 472
Certification 472
Introduction 435 Defining Islamic Investments 472
The Role or Accounting Standards 436
How Might FVA Have Exacerbated the Financial Crisis? 440
Disclosure Policy and the Crisis 443
Do Accounting Standards Influence Behavior? 445 43. Loan Markets
See also 446 A. MUGASHA
41. Investment Banks Overview 475
Advantages or Loan Markets to Borrowers 476
Key National and Regional Loan Markets 478
Leading Industry Associations 479
Introduction 447 Concepts 447 Evolution or the Loan Asset 480
Origins 449 The Financial Institutions Involved in the Loan Markets 481
Funcdons and Objectives 449 Two Stage of the Loan Cycle: Primary and Secondary 482
The Primary Loan Market 482
Investment Banks and Commercial Banks 450
Business Streams 451 e Syndication Processes and Key Documents 483
The Secondary Loan Market 484
Corporate Finance Advisory 451
Capital Creation in Equities, Debt, and Derivatives 453
Markets in Information and Reputational Capital 454 Law and Litigation 486
Questions, Concerns, and Post-crisis Outcomes 456
See also 458 Global Financial Crisis and its Impact on Loan Markets 487
42. Overview of Islamic Finance
R. BHALA
The Future 487
See also
44. Microfinance: Costs, Lending Rates, and
What Is Forbidden (Haram): Gharar (Uncertainty) 459 Profitability
Definition of Gharar 459 R. MERSLAND AND R. 0YSTEIN STR0M
Example of a Haram Transaction: Short Selling 460
What Is Forbidden (Haram): Riba (Interest) 461 Introduction 489
Definition of Riba 461 Introduction to Microfinance 490
Examples of Haram transactions: Riba al- NasT a and Riba al- Microfinance in History 490
Fadl 463 The Diffusion of Microfinance 490
Riba al-NasT a (Excess in credit transactions) 463 The Diversity in MFI Characteristics 492
[r]iba in a Money-to-Money Exchange, Provided Exchange Is Effects of Microfinance 493
Delayed or Deferred and Additional Charge Is Incurred with Recent Critics of Microfinance 494
such Deferment 463 High Profitability? 495
Riba al-Fadl (Unequal spot commodity trades) 464 Outreach: The MFI s Social Mission 497
Legal Devices (Hiyal) to Circumvent the Proscriptions on Gharar Conclusions 498
and Riba 465
What Are Hiyal ? 465 45. OTC - Derivative Market
Sharikah al-Mudarabah (Sleeping Partnership) 466
Definition and Profit Sharing 466
Examples of Use 466 The Over-the-Counter Derivatives Market 501
Three steps 466 Introduction 501
Murabaha Contracts 467 The OTC Derivative Market 501
M. SINGH
Regulatory Infrastructure for OTC Derivatives 502 49. Property Rights in an Era of Global Finance
Issues Under the Proposed Regulatory Infrastructure for OTC A LEHAVI
Derivatives 503
Interoperability of CCPs 503 Introduction 547
Sizable collateral requirements 503 The Nature of Property Rights 548
Unbundling of netted positions 504 The Local Origins of Property 549
Adverse impact on risk management 504 Supranational Property Instruments: A General Survey 551
Regulatory arbitrage likely 504 The Challenge of Globalization: Resource-Specific Comments 554
Concentration of systemic risk via risk nodes 504 Land 554
Central Bank backstop (or taxpayer bailout) 504 Chattels 554
Decrease in rehypothecation 504 Intangibles 554
Supervision of more SIFIs 505 Intellectual Property 555
An Alternative to the CCP Route: Taxing Derivative Liability Conclusion 556
Positions 505
Conclusions 505
Understanding the CDS Market and the Use of CDS Data 506 50. Securities Settlement Systems
CDS Spreads as a Signaling Instrument 507 D.C. DONALD
Adjusting Probabilities: The Price of Risk 507
Assumption between Fixed and Variable Recovery 508 Definition 557
CDS data (use and abuse) 510 The Legal Requirements for Transferring Securities 558
Conclusion and policy implications 510 The Creation of the Contemporary Depository Model 559
Appendix: Typical OTC Derivative Position from an SIFI s The Legal Characteristics of Settlement in the Currently Dominant,
Financial Statement 511 Depository Model 560
Disadvantages of the Depository Model 562
46. Global Payment and Settlement Systems Ameliorating the Disadvantages of the Depository Model 562
B. GEVA The Future of Securities Settlement 563
Introduction 513
Foreign Exchange Transactions 517 51. Securitization and Structured Finance
Payment System Risk 517 S.L. SCHWARCZ
The Failure to Complete Settlement on Participant s Default 519
Conclusion 522 Overview of Securitization 565
Third-Party Credit Enhancement 566
47. Pension Funds History 566
G. IMPAVIDO Benefits 566
Reduction of Information Asymmetry 567
Introduction 523 Bankruptcy Remoteness 567
What are Pension Plans, Funds, and Firms? 524 Senior-Subordinated Structure 568
Pension Plans 524 Rating Agencies 568
Pension Funds 525 Servicing 568
Pension Firms 526 The Economics of Securitization 568
Key Policy Issues with Pension Funds 526 Efficiency 569
Implications of Pension Intervention Policies 526 Absent Overinvestment, Unsecured Creditors Are Not
Pension Fund Governance 527 Harmed 569
Pension Funding 528 Potential Abuses of Securitization 570
Administrative Costs 529 Enron 570
Pension Retirement Products and Markets 529 Abuses Relating to the Recent Financial Crisis 570
Pension Fund Supervision 531 Problematic Asset Type 571
48 Project and Asset Finance Originate-to-Distribute Model and Moral Hazard 571
Servicing Conflicts 571
F. PRETORIUS
Overrehance on Mathematical Models 5II
Introduction 533 The Future of Securitization 572
Project and Asset Finance and Economics 534
Project Finance 535
Valuation, Project Loans and Recourse 537 52. Sovereign Funds
Project Development and Phased Lending 538
Why Project Finance? 539
Major Asset Financing: Ships and Aircraft 540 Overview: Definition, Type, Size, and Number 575
Endnote 544 Background and Context: Global Imbalances 577
See also 544 Investment Strategies and Performance of SWFs 579
Issues and Concerns Over SWFs 581 Conclusion on Documentary Sales and Letters of
Regulatory Response to the Rise of SWFs 582 Credit 590
Implications of SWFs for the Global Financial System 583 Open Account 590
Commercially Based Working Capital Financing 590
53. Finance Export Credit Insurance and Financing 591
J.W. HEAD Export Credit Insurance 591
Government-Guaranteed Export Working Capital
Introduction 585 Programs 592
Cash in Advance 586 Government-Assisted Foreign Buyer Financing 592
Documentary Sale with Confirmed Letter of Credit 587 Factoring and Forfaiting 592
Key Steps in a Documentary Sale Transaction with a Confirmed Factoring 592
Letter of Credit 587 Forfaiting 593
The Legal Fundamentals of International Letters of Additional Points 593
Credit 588
The Principle of Strict Compliance 588
The Independence Principle and Its Exceptions 589 Index 595
|
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discipline | Rechtswissenschaft Wirtschaftswissenschaften |
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genre | (DE-588)4143413-4 Aufsatzsammlung gnd-content |
genre_facet | Aufsatzsammlung |
id | DE-604.BV040752800 |
illustrated | Illustrated |
indexdate | 2024-07-10T00:33:11Z |
institution | BVB |
isbn | 0123978734 9780123978738 |
language | English |
oai_aleph_id | oai:aleph.bib-bvb.de:BVB01-025732536 |
oclc_num | 835297238 |
open_access_boolean | |
owner | DE-945 DE-739 DE-19 DE-BY-UBM DE-473 DE-BY-UBG DE-521 DE-634 |
owner_facet | DE-945 DE-739 DE-19 DE-BY-UBM DE-473 DE-BY-UBG DE-521 DE-634 |
physical | XXII, 611 S. graph. Darst., Kt. |
publishDate | 2013 |
publishDateSearch | 2013 |
publishDateSort | 2013 |
publisher | Elsevier |
record_format | marc |
spelling | Handbook of key global financial markets, institutions and infrastructure ed.-in-chief Gerard Caprio Key global financial markets, institutions and infrastructure 1. ed. Boston, Mass. [u.a.] Elsevier 2013 XXII, 611 S. graph. Darst., Kt. txt rdacontent n rdamedia nc rdacarrier Internationaler Kapitalmarkt (DE-588)4027402-0 gnd rswk-swf Globalisierung (DE-588)4557997-0 gnd rswk-swf Infrastruktur (DE-588)4026944-9 gnd rswk-swf (DE-588)4143413-4 Aufsatzsammlung gnd-content Internationaler Kapitalmarkt (DE-588)4027402-0 s Globalisierung (DE-588)4557997-0 s Infrastruktur (DE-588)4026944-9 s b DE-604 Caprio, Gerard Sonstige (DE-588)128903163 oth DE-601 pdf/application http://www.gbv.de/dms/zbw/721219950.pdf Inhaltsverzeichnis HBZ Datenaustausch application/pdf http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&local_base=BVB01&doc_number=025732536&sequence=000002&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA Inhaltsverzeichnis |
spellingShingle | Handbook of key global financial markets, institutions and infrastructure Internationaler Kapitalmarkt (DE-588)4027402-0 gnd Globalisierung (DE-588)4557997-0 gnd Infrastruktur (DE-588)4026944-9 gnd |
subject_GND | (DE-588)4027402-0 (DE-588)4557997-0 (DE-588)4026944-9 (DE-588)4143413-4 |
title | Handbook of key global financial markets, institutions and infrastructure |
title_alt | Key global financial markets, institutions and infrastructure |
title_auth | Handbook of key global financial markets, institutions and infrastructure |
title_exact_search | Handbook of key global financial markets, institutions and infrastructure |
title_full | Handbook of key global financial markets, institutions and infrastructure ed.-in-chief Gerard Caprio |
title_fullStr | Handbook of key global financial markets, institutions and infrastructure ed.-in-chief Gerard Caprio |
title_full_unstemmed | Handbook of key global financial markets, institutions and infrastructure ed.-in-chief Gerard Caprio |
title_short | Handbook of key global financial markets, institutions and infrastructure |
title_sort | handbook of key global financial markets institutions and infrastructure |
topic | Internationaler Kapitalmarkt (DE-588)4027402-0 gnd Globalisierung (DE-588)4557997-0 gnd Infrastruktur (DE-588)4026944-9 gnd |
topic_facet | Internationaler Kapitalmarkt Globalisierung Infrastruktur Aufsatzsammlung |
url | http://www.gbv.de/dms/zbw/721219950.pdf http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&local_base=BVB01&doc_number=025732536&sequence=000002&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA |
work_keys_str_mv | AT capriogerard handbookofkeyglobalfinancialmarketsinstitutionsandinfrastructure AT capriogerard keyglobalfinancialmarketsinstitutionsandinfrastructure |
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Inhaltsverzeichnis