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Bank Funding Strategies : The Use of Bonds and the Bail-in Effect / by Fabrizio Crespi, Danilo V. Mascia
(Palgrave Macmillan Studies in Banking and Financial Institutions. ISSN:25233378)

Publisher (Cham : Springer International Publishing : Imprint: Palgrave Macmillan)
Year 2018
Edition 1st ed. 2018.
Authors *Crespi, Fabrizio author
Mascia, Danilo V author
SpringerLink (Online service)

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OB00175464 Springer Economics and Finance eBooks (電子ブック) 9783319694139

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Material Type E-Book
Media type 機械可読データファイル
Size XX, 147 p. 10 illus : online resource
Notes Chapter 1: Introduction -- Chapter 2: The bank funding strategies of European banks: a comparison -- Chapter 3: The funding of Italian banks: instruments and changes over time -- Chapter 4: Different types of bonds issued by Italian banks -- Chapter 5: The bail-in effect: how the cost of funding has changed after the introduction of the BRRD -- Chapter 6: Conclusion. 
This book illustrates the importance of bonds as a funding tool available to banks. After providing the reader with an overview of the funding strategies adopted during the last ten years by European banks, the book offers a deep focus on the Italian banking industry. Notably, the authors illustrate how bonds have been a primary funding choice for Italian banks, as well as a preponderant asset in Italian households’ portfolios. Furthermore, they highlight the consequences of the adoption of the Bank Recovery and Resolution Directive (BRRD) on the yields offered by bonds of Italian banks. Finally, they conclude the volume with the illustration of very recent case studies about the application of the BRRD to some problematic banks in Italy and the related side effects generated to bank bondholders. All the analyses presented in the book are supported by the use of quantitative data
HTTP:URL=https://doi.org/10.1007/978-3-319-69413-9
Subjects LCSH:Financial services industry
FREE:Financial Services
Classification LCC:HG1501-3550
DC23:332.17
ID 8000014547
ISBN 9783319694139

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