Decision Taking, Confidence and Risk Management in Banks from Early Modernity to the 20th Century

Decision Taking, Confidence and Risk Management in Banks from Early Modernity to the 20th Century
Title Decision Taking, Confidence and Risk Management in Banks from Early Modernity to the 20th Century PDF eBook
Author Korinna Schönhärl
Publisher Palgrave Macmillan
Pages 342
Release 2018-07-15
Genre Business & Economics
ISBN 9783319824949

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This book offers 14 contributions that examine key questions in bank decision-taking,constitution of confidence in banks and risk management practices from Early Modernity to the twentieth century. It explores how the various mechanisms of bank decision taking changed over time. Chapters also analyse the types of risk management techniques used, the contributory factors to the constitution of confidence and the methods that banking historians can use to analyse and describe bankers ́ risk management and decision taking - from system theory to behavioural finance, new institutional economics to praxeology and convention theory to network analysis. The different methodological approaches are put to the test in case studies based on archive material from four hundred years of banking in order to connect banking history more closely to political and cultural history.

Decision Taking, Confidence and Risk Management in Banks from Early Modernity to the 20th Century

Decision Taking, Confidence and Risk Management in Banks from Early Modernity to the 20th Century
Title Decision Taking, Confidence and Risk Management in Banks from Early Modernity to the 20th Century PDF eBook
Author Korinna Schönhärl
Publisher Springer
Pages 349
Release 2017-01-26
Genre Business & Economics
ISBN 3319420763

Download Decision Taking, Confidence and Risk Management in Banks from Early Modernity to the 20th Century Book in PDF, Epub and Kindle

This book offers 14 contributions that examine key questions in bank decision-taking,constitution of confidence in banks and risk management practices from Early Modernity to the twentieth century. It explores how the various mechanisms of bank decision taking changed over time. Chapters also analyse the types of risk management techniques used, the contributory factors to the constitution of confidence and the methods that banking historians can use to analyse and describe bankers ́ risk management and decision taking - from system theory to behavioural finance, new institutional economics to praxeology and convention theory to network analysis. The different methodological approaches are put to the test in case studies based on archive material from four hundred years of banking in order to connect banking history more closely to political and cultural history.

Financial Behavior

Financial Behavior
Title Financial Behavior PDF eBook
Author Harold Kent Baker
Publisher Oxford University Press
Pages 681
Release 2017
Genre Business & Economics
ISBN 0190269995

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Financial Behavior provides a synthesis of the theoretical and empirical literature on the financial behavior of major stakeholders, financial services, investment products, and financial markets. With diverse concepts and topics, the book brings together noted scholars and practitioners so readers can gain an in-depth understanding about cognitive and emotional biases that influence various financial decisions from experts from around the world.

Early Modern Debts

Early Modern Debts
Title Early Modern Debts PDF eBook
Author Laura Kolb
Publisher Springer Nature
Pages 421
Release 2020-11-30
Genre Literary Criticism
ISBN 3030597695

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Early Modern Debts: 1550–1700 makes an important contribution to the history of debt and credit in Europe, creating new transnational and interdisciplinary perspectives on problems of debt, credit, trust, interest, and investment in early modern societies. The collection includes essays by leading international scholars and early career researchers in the fields of economic and social history, legal history, literary criticism, and philosophy on such subjects as trust and belief; risk; institutional history; colonialism; personhood; interiority; rhetorical invention; amicable language; ethnicity and credit; household economics; service; and the history of comedy. Across the collection, the book reveals debt’s ubiquity in life and literature. It considers debt’s function as a tie between the individual and the larger group and the ways in which debts structured the home, urban life, legal systems, and linguistic and literary forms.

Foreign Banks and Global Finance in Modern China

Foreign Banks and Global Finance in Modern China
Title Foreign Banks and Global Finance in Modern China PDF eBook
Author Ghassan Moazzin
Publisher Cambridge University Press
Pages 355
Release 2022-07-07
Genre Business & Economics
ISBN 100903698X

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In this wide-ranging study, Ghassan Moazzin sheds critical new light on the history of foreign banks in late nineteenth and early twentieth century China, a time that saw a substantial influx of foreign financial institutions into China and a rapid increase of both China's foreign trade and its interactions with international capital markets. Drawing on a broad range of German, English, Japanese and Chinese primary sources, including business records, government documents and personal papers, Moazzin reconstructs how during this period foreign banks facilitated China's financial integration into the first global economy and provided the financial infrastructure required for modern economic globalization in China. Foreign Banks and Global Finance in Modern China shows the key role international finance and foreign banks and capital markets played at important turning points in modern Chinese history.

Maintaining Financial Stability in Times of Risk and Uncertainty

Maintaining Financial Stability in Times of Risk and Uncertainty
Title Maintaining Financial Stability in Times of Risk and Uncertainty PDF eBook
Author Behl, Abhishek
Publisher IGI Global
Pages 400
Release 2018-12-04
Genre Business & Economics
ISBN 1522572090

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Risks and uncertainties?market, financial, operational, social, humanitarian, environmental, and institutional?are the inherent realities of the modern world. Stock market crashes, demonetization of currency, and climate change constitute just a few examples that can adversely impact financial institutions across the globe. To mitigate these risks and avoid a financial crisis, a better understanding of how the economy responds to uncertainties is needed. Maintaining Financial Stability in Times of Risk and Uncertainty is an essential reference source that discusses how risks and uncertainties affect the financial stability and security of individuals and institutions, as well as probable solutions to mitigate risk and achieve financial resilience under uncertainty. Featuring research on topics such as financial fraud, insurance ombudsman, and Knightian uncertainty, this book is developed for researchers, academicians, policymakers, students, and scholars.

European Investment in Greece in the Nineteenth Century

European Investment in Greece in the Nineteenth Century
Title European Investment in Greece in the Nineteenth Century PDF eBook
Author Korinna Schönhärl
Publisher Routledge
Pages 487
Release 2020-09-23
Genre Business & Economics
ISBN 1000191540

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Banking historiography often does not sufficiently take into account bankers’ deliberations of their decision making, but rather limits investigation to considerations of profit maximisation. This book shows that the decision-making processes of nineteenth-century bankers contemplating high-risk financial markets like Greece are just as complex as present-day investment decisions. The book, now published in English after a first German edition, offers in-depth studies of decision making in concrete historical situations, considering political and economic circumstances and also the individual background of the actors concerned, including a reflection on the influence of cultural movements such as Philhellenism. Employing methodological inspirations from the field of behavioural finance, the book analyses a broad range of published and unpublished English, French, Greek, German and Swiss sources on European investment in Greece between 1821 and the Balkan wars. Additionally, rich insights into Greek economic history, the economic integration of the country into Europe and long-lasting European stereotypes of Southern Europe and Greece are provided; this furthers understanding of the historical background of the Greek financial crisis after 2009. In combining the perspectives of financial, economic, political and cultural history, this book is primarily significant for students of various fields of historiography. Due to its strong awareness of methodological questions, it is also of great interest to academic historians. In addition, the strong public interest in the Greek financial crisis after 2009 and its consequences for Europe will, thirdly, attract the interest of a broader public.