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Handbook of Asian Finance Financial Markets and Sovereign Wealth Funds

Langue : Anglais

Coordonnateurs : Lee Kuo Chuen David, Gregoriou Greg N.

Couverture de l’ouvrage Handbook of Asian Finance
Asia's miraculous recovery from the 1997 crisis ushered in unexpected transformations to its economies and financial sectors. The reasons many Asian countries are growing above 6%, with double-digit growth for a year or two in-between, are investigated by this extensive research collection. The Handbook of Asian Finance covers the most interesting issues raised by these growth rates. From real estate prices and the effects of trading technologies for practitioners to tax evasion, market manipulation, and corporate governance issues, expert scholars analyze the ways that the region is performing. Offering broader and deeper coverage than other handbooks, the Handbook of Asian Finance explains what is going on in Asia today.
BANKING
1. Risk Ratings in Asian Banks.
Edward H.K. Ng
2. Private Wealth Management in Asia.
David R. Meyer
3. The Banking Networks of Asian Financial Centers. 
David R. Meyer
4. Dynamics of House Price and Bank Lending in Korea.
Heeho Kim and Saewoon Park
5. The Effect of Bank Mergers on Shareholder Value and Performance in Japan.
Heather Montgomery and Yuki Takahashi
6. A Regime-switching Analysis of Asian Bank Stocks.
Kin-Yip Ho, Yanlin Shi and Zhaoyong Zhang
7. Default Prediction with Automatically Predictor Selection on Southeast Asian Industry.
Wolfgang Karl Hardle and Dedy Dwi Prastyo
8. A Demand for International Reserve and Monetary Disequilibrium: Evidence from Emerging Asia

MARKET DEVELOPMENT AND GOVERNANCE ISSUES
9. Singapore’s Financial Markets: Challenges, Future and Prospects.
David Lee and Kok Fai Phoon
10. Wealth Management- A Comparison of Switzerland, Singapore and Hong Kong.
Francis Koh and Peggan Tan
11. Asian Market Reactions to US Macroeconomic News Surprises.
Helena Chulia and Natalia Valls
12. Monetary Policy in Taiwan: the Implications of Liquidity.
Logan Kelly, Jane Binner, Chia-Ling Chang, and Yi-Heng Tseng
13. Comparative Financial Development in Asia-Pacific since the Asia Crisis.
Kym Brown, Jonathan A. Batten, Michael Skully and Yen N. Nguyen
14. Does Asia Really Have Poorer Governance?: Evidence from International Variations in Self-Dealing Transparency.
Raj Aggarwal and John W. Goodell
15. Attitudes Toward Tax Evasion in Korea: A Study in Public Finance.
Robert W. McGee and Yeomin Yoon
16. Attitudes toward Accepting a Bribe: A Comparative Study of the Peoples’ Republic of China, Taiwan and Hong Kong.
Robert W. McGee

SOVERIGN WEALTH FUNDS
17. The Emergence of Sovereign Wealth Funds in Asia.
Donghyun Park and Gemma Esther B. Estrada
18. China Investment Corporation: China’s Sovereign Wealth Fund.
Yuwei Hu
19. Portfolio Allocation Dynamics of China Investment Corporation in the Aftermath of the Global Financial Crisis of 2007-2009.
Tayyeb Shabbir
20. Sovereign Wealth Funds in East Asia: An Update of their Recent Developments.
Kin-Yip Ho and Zhaoyong Zhang

David LEE Kuo Chuenis a Professor of Financial Technology and Blockchain at the Singapore University of Social Sciences (SUSS), an Adjunct Professor at the National University of Singapore (NUS), a Council Member of the British Blockchain Association, Vice President of the Economic Society of Singapore, and Editor-in-Chief or Deputy Editor-in-Chief of the Journal of Fintech and Annual Review of Fintech. He is also Chairman of the Global FinTech Institute (GFI), co-founder of the Singapore Blockchain Association, co-founder of the Blockchain Security Alliance, advisor to the Asian Development Bank, cryptocurrency advisor to the Asian Institute of Digital Finance (AIDF) of NUS, advisor to the SUSS Node for inclusive FinTech (NiFT), independent director of several technology companies in Singapore, angel investor in blockchain, WEB3, inclusive finance and AI innovation, senior advisor and Investment Committee member of Artichoke Capital which is backed by institutional and sovereign wealth fund limited partners.


A native of Montreal, Professor Greg N. Gregoriou obtained his joint Ph.D. in finance at the University of Quebec at Montreal which merges the resources of Montreal's four major universities McGill, Concordia, UQAM and HEC. Professor Gregoriou is Professor of Finance at State University of New York (Plattsburgh) and has taught a variety of finance courses such as Alternative Investments, International Finance, Money and Capital Markets, Portfolio Management, and Corporate Finance. He has also lectured at the University of Vermont, Universidad de Navarra and at the University of Quebec at Montreal.

Professor Gregoriou has published 50 books, 65 refereed publications in peer-reviewed journals and 24 book chapters since his arrival at SUNY Plattsburgh in August 2003. Professor Gregoriou's books have been published by McGraw-Hill, John Wiley & Sons, Elsevier-Butterworth/Heinemann, Taylor and Francis/CRC Press, Palgrave-MacMillan an

  • Devotes significant attention to the systematic risk created by banks’ exposure to links between real estate and other sectors
  • Explores the implications implicit in the expansion of sovereign funds and the growth of the hedge fund and real estate fund management industries
  • Investigates the innovations in technology that have ushered in faster capital flow and larger trading volumes

Date de parution :

Ouvrage de 416 p.

19x23.3 cm

Disponible chez l'éditeur (délai d'approvisionnement : 14 jours).

131,23 €

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