Overview
- Discusses the impact of financial crises in the economic performance of countries
- Provides a comprehensive overview of the interdependence of Finance and Banking with the country's economy
- Includes contributions about the role of banks for economic stability
Part of the book series: Contributions to Economics (CE)
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Table of contents (22 chapters)
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Financial Economics and Growth Dynamics
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Finance and Banking
Keywords
About this book
This volume discusses the impact of Financial Economics, Growth Dynamics, and the Finance & Banking sector in the economies of countries. The contributors analyse and discuss the effects of the recent financial crises on the economic growth and performance in various countries. The volume covers aspects like foreign borrowing, impact on productivity and debt crises that are strongly affected by the financial volatility of recent years and includes examples from Europe and Asia.
In addition, the authors give particular attention to the private sector of Finance and Banking, which is deeply interwoven with the financial performance of a country’s economy. Examples such as bank profitability and troubled loans are covered and the volume also discusses the economic impact of banks such as the Ottoman Bank in a national economy. The book also explores the importance of financial stability, intellectual capital and bank performance for a stable economic environment.Editors and Affiliations
About the editors
Hasan Dinçer is an Associate Professor of Finance at Istanbul Medipol University, Faculty of Economics and Administrative Sciences, Istanbul, Turkey. He has worked in the finance sector as a portfolio specialist and his major academic studies focuses on financial instruments, performance evaluation, and economics. He is the executive editor of the International Journal of Finance and Banking Studies (IJFBS) and the founder member of the Society for the Study of Business and Finance (SSBF).
Ümit Hacıoğlu is an Associate Professor of Finance at Istanbul Medipol University, Faculty of Economics and Administrative Sciences, Istanbul, Turkey. Dr. Hacioglu has BAs in Business and International Business from Beykent University. He received his MBA from Beykent University and his PhD in Finance and Banking from Kadir Has University. He has published extensively in major academic journal focusing on financial markets, behavioral finance, performance evaluation, and economics of markets. He edits and serves on several journals related to his core research areas—behavioral finance and financial decision making.
Serhat Yüksel is Assistant Professor of Finance in İstanbul Medipol University. Before this position, he worked as a senior internal auditor for seven years in Finansbank, Istanbul,Turkey and 1 year in Konya Food and Agriculture University as an assistant professor.
Bibliographic Information
Book Title: Global Approaches in Financial Economics, Banking, and Finance
Editors: Hasan Dincer, Ümit Hacioglu, Serhat Yüksel
Series Title: Contributions to Economics
DOI: https://doi.org/10.1007/978-3-319-78494-6
Publisher: Springer Cham
eBook Packages: Economics and Finance, Economics and Finance (R0)
Copyright Information: Springer International Publishing AG, part of Springer Nature 2018
Hardcover ISBN: 978-3-319-78493-9Published: 21 June 2018
Softcover ISBN: 978-3-030-08713-5Published: 24 January 2019
eBook ISBN: 978-3-319-78494-6Published: 12 June 2018
Series ISSN: 1431-1933
Series E-ISSN: 2197-7178
Edition Number: 1
Number of Pages: VII, 483
Number of Illustrations: 35 b/w illustrations, 13 illustrations in colour
Topics: Macroeconomics/Monetary Economics//Financial Economics, Banking, Financial Crises, Economic Growth, Behavioral Finance