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MARC状态:审校 文献类型:西文图书 浏览次数:92

题名/责任者:
Finance and investment : the European case / edited by Colin Mayer, Sa?d Business School, Oxford Univeresity and CEPR, Stefano Micossi, Assonime, Marco Onado, Universita Bocconi, Marco Pagano, Universita di Napoli Federio II and CEPR, Andrea Polo, Universitat Pompeu Fabra, Barcelona GSE and CEPR.
版本说明:
First edition.
出版发行项:
Oxford, United Kingdom : Oxford University Press, c2018.
ISBN:
9780198815815
ISBN:
0198815824
ISBN:
9780198815822
ISBN:
0198815816
载体形态项:
xxxii, 392 pages : illustrations ; 24 cm
附加个人名称:
Mayer, C. P. (Colin P.), editor.
附加个人名称:
Micossi, Stefano, editor.
附加个人名称:
Onado, Marco, editor.
附加个人名称:
Pagano, Marco, editor.
附加个人名称:
Polo, Andrea, editor.
论题主题:
Investments-Europe.
论题主题:
Finance-Europe.
中图法分类号:
F835.048
书目附注:
Includes bibliographical references and indexes.
摘要附注:
Low growth, low investment, insufficient spend on infrastructure, weak bank lending to the corporate sector, and funding deficiencies of small and medium-sized enterprises are all causes of concern in Europe. To many, they point to fundamental problems in the financing of European companies and in Europe's financial systems. Are these concerns valid and do the structure and performance of the financial system lie at their heart? If so, what should be done to address them, and have the right policy prescriptions been identified to date? A product of the Restarting European Investment Finance research programme, Finance and Investment: The European Case brings together leading researchers to consider the causes of the persistently low level of investment in Europe. It examines the extent to which the financial system is a contributory factor and identifies possible remedies, considering the relation of finance to corporate sector investment, the lending behaviour of banks, the provision of equity financing, and the role of public sector institutions, regulation, and taxation. Finance and Investment provides one of the most comprehensive and thorough analyses of any financial system undertaken to date. It reflects a large body of research using new and existing data sets, employing advanced empirical tools, and exploiting the unique insights provided by the tumultuous events of financial and sovereign debt crises. Together, they comprise an exceptional body of knowledge to advance academic thinking and guide policy formulation.
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F835.048/BM1 40043973   外文书库(外文原版)(11F)     可借 外文书库(外文原版)(11F)
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