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by Andrew H. Chen

  • ISBN: 1559384247
  • Author: Andrew H. Chen
  • ePub ver: 1227 kb
  • Fb2 ver: 1227 kb
  • Rating: 4.9 of 5
  • Language: English
  • Pages: 310
  • Publisher: JAI Press, Inc. (October 1, 1992)
  • Formats: azw lit docx lit
  • Category: Money
  • Subcategory: Economics
epub Research in Finance:  Volume 10, 1992 download

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Published October 1992 by JAI Press, In. .

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This volume contains contributions on a range of impor. т 2659. Three Essays in Public Finance. This dissertation comprises three essays in public fin. т 2505. Nordic Development Finance Institutions in Africa: Qubo Chen and Ludan Yang.

This paper describes some of the major problems associated with current approaches to infrastructure financing in the Asia–Pacific region.

SINCE THEIR INTRODUCTION in the early 1980s, interest rate swaps have become one of the most powerful and popular risk-management tools for banks and business corporations. This paper describes some of the major problems associated with current approaches to infrastructure financing in the Asia–Pacific region. And a key part of such financing must come from financial innovation.

Topics include the IPO underwriting spreads, the moral hazard problems in bank regulation as well as in the cost of deposit insurance, the loan yield spreads, and the aggregate bank performance at the state-level. The topics in global investments such as diversification benefits, overreaction and seasonality among international stock markets are also included in this volume.

Topics include the design of a country's financial safety nets, the effective policies of acquiring failed banks in reducing moral hazard problems, the voluntary disclosure of real options by corporate managers, and the interrelationship between the housing and general economic activities.

Sengupta shows tax evasion decisions of a monopolist in a price-ceiling regulatory environment.

Part of a series which offers an insight into research into finance, this volume covers a range of topics including: the disciplinary role of debt in a hierarchical organization; the optimality of equity issue strategies; and inflation, financial structure and the Q-theory of investment.

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