This authoritative book features previously published articles which describe, analyze and empirically explore corporate restructurings. Restructurings include corporate combinations that come about through mergers, tender offers, and jo...
This important and timely two-volume collection presents the key issues and processes that surround recent large-scale financial crises – in Asia, Latin America, and elsewhere – and identifies procedures that will help to avoid and manag...
Emerging markets have long posed a challenge for finance. Standard models are often ill suited to deal with the specific circumstances arising in these markets. However, the interest in emerging markets has provided impetus for the adapt...
This two-volume set brings together some of the most significant previously published articles by leading scholars in the field. The volumes investigate various aspects of financial forecasting including the forecasting of earnings, bank...
The editors have selected the most important papers on the subject of international capital markets for this authoritative collection. Volume I considers theories of international portfolio choice and asset pricing, and also looks at emp...
The degree of international financial integration achieved by capital flows remains a matter of debate. Furthermore, it evolves over time as markets become more and less integrated. Policymakers want to have a precise knowledge of the ex...
Asset pricing lies at the heart of financial economics, being not only the foundation of every other field in this subject area but also having prime relevance for practical decision-making. For this two-volume collection the editor has...
The last two decades have seen a number of important developments in exchange rate economics, with substantial contributions to both its theory and empirics. While our understanding of exchange rates has significantly improved, a number ...
The forecasting of financial markets has engaged the attention of market professionals and academic economists and statisticians for many years, and has also attracted the interest of numerous ‘amateur’ investors. This book brings togeth...
This authoritative two-volume collection brings together a comprehensive selection of over 40 previously published articles which include seminal and recent contributions in the area of speculation and financial markets. The volumes pre...
Behavioral finance is the study of how psychology affects financial decision making and financial markets. A valuable resource for both academics and practitioners, this authoritative collection brings together the main works in both psy...
This major four-volume collection will prove invaluable for lecturers, researchers and practitioners. The first volume covers the case for and against banking regulation, touching upon the design of an ‘optimal’ regulatory framework. The...