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Banking, Finance & Accountancy 2012

MAKE MONEY WORK WITH FINANCE AND INVESTMENT TITLES FROM PALGRAVE MACMILLAN
Personal Finance
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04 Nov 2011 - 978-0-230-34811-0 - 34.99 - Paperback

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Personal Investment: nancial planning in an uncertain world

This Second Edition of the successful introductory personal nance text is a must have book for anybody that wants their money to work as hard as they do! Published in association with the Open University. Companion website available

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This innovative new teaching text provides an introduction to personal investment in a world dened by uncertainty. Published in association with the Open University. Companion website available

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Banking, Finance & Accountancy 2012

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Welcome to the new Palgrave Macmillan Banking, Finance and Accountancy Catalogue 2012. The past few years have seen huge change in the nance industry, and 2012 / 2013 promises no respite. As new markets, instruments and regulation continue to change the face of the industry, Palgraves nance programme continues to respond. Our scholarly programme continues to bring you the latest research in the global nancial system through our celebrated Studies in Banking and Financial Institutions Series, (Series Editor: Philip Molyneux, Bangor Business School). In 2012, topics covered include the series continues to explore the nancial and sovereign debt crises and the repercussions on the global economy, the hugely controversial Basel III, and following the theme of last year, we continue to analyze the inner workings of country-specic banking systems. Our professional programme sees massive change this year. We are launching two new series: Applied Quantitative Finance is a new series of titles covering quantitative nance as it is actually applied in the industry. We are very pleased to launch this series with Chris Kenyon and Roland Stamms Discounting, Libor, CVA and Funding: Interest Rate and Credit Pricing - a guide to the very latest in quantitative nancial applications. We are also launching Financial Engineering Explained (Series Editor: Wim Schoutens, Catholic University of Leuven), an innovative new short form series of how to guides for nance practitioners and students alike. Finally, we are delighted to announce the publication of Investment Banking and the Global Credit and Capital Markets by Professor Brian Scott-Quinn of the ICMA Centre, University of Reading. This is a complete and up-to-date guide to the nancial services industry, its sectors and its governance. Best wishes Professional & Scholarly Books: Pete Baker | Head of Business, Finance and Economics | p.baker@palgrave.com Ria Purser | Senior Marketing Executive | r.purser@palgrave.com College Textbooks: Martin Drewe | Publisher | m.drewe@palgrave.com Jonathan Roscoe | Marketing Manager | j.roscoe@palgrave.com

Contents
Banking Palgrave Macmillan Studies In Banking and Financial Institutions series Monetary Economics Quantitative Methods Finance and Financial Markets Financial Management International Finance Public Finance Accounting Reference Index 3 4 9 10 12 19 23 25 27 28 31

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BANKING BANKING

Ethics in Investment Banking


John N. Reynolds has a 20 year career in investment banking and chaired the Church of England Ethical Investment Advisory Group (EIAG).Edmund Newell is a priest in the Church of England and is also a member of the EIAG.

Liberalizing Financial Services and Foreign Direct Investment


Developing a Framework for Commercial Banking FDI
Laura Pez, Project Manager, Latin American and Caribbean Economic System, Central University of Venezuela, Venezuela

Islamic Banking and Finance


Denitive Texts and Cases
Omar Masood, Director, Centre of Islamic Banking and Finance, University of East London, UK; Lead Advisor and Trainer in the area of Islamic banking and nance worldwide to nancial as well as academic institutions; Authored a number of books including the bestselling Truth about the Global Financial Crisis

A no-nonsense book full of practical and workable solutions to ethical problems. Ethics in Investment Banking could not be more timely, making it very clear that there is no excuse for the absence of a strong ethical foundation to investment banking. - Lord Myners Whether banks, especially investment banks, lost their moral and ethical compass, as well as vast amounts of shareholders capital, is a fair question to ask in the wake of the nancial crisis. What is clear is that sustainable returns in banking can only be achieved if banks act fairly and responsibly to their key stakeholders. This book makes an important contribution to considering this question. - Sir Philip Hampton, Chairman, RBS The nancial crisis focused unprecedented attention on ethics in investment banking. This book develops an ethical framework to assess and manage investment banking ethics and provides a guide to high prole concerns as well as day to day ethical challenges.
Contents: Foreword / Introduction: Learning from Failure? / Ethics in Investment Banking: Background and Context / The Framework for Understanding Ethics in Investment Banking / Religion and Investment Banking Ethics / The Two Opposing Views of Investment Banking Ethics: Rights Vs. Duties / Recent Ethical Issues in Investment Banking / Clients and Ethics / Internal Ethical Issues / A New Code of Ethics for Investment Banking
September 2011 192pp Hardback 26.00 234x156mm 978-0-230-28508-8

This book focuses on the relationship between FDI and nancial service liberalization in the context of the WTO. By conducting an economic assessment on the extent of GATS liberalization in commercial banking it seeks to empirically clarify if the multilateral liberalization efforts under the WTO promote FDI.
Contents: Introduction / Understanding Foreign Direct Investment / Applying FDI Theory to Commercial Banking / Multilateral Rules on Financial Services and FDI / GATS Financial Services Liberalization in OECD Members / Assessing FDI Determinants in Commercial Banking / Conclusions
July 2011 280pp 15 gures, 12 b/w tables Hardback 60.00 216x138mm 978-0-230-27157-9

A denitive examination of Islamic banking and nance.


November 2011 304pp Hardback 62.50 216x138mm 978-0-230-33839-5

The Economics of the Middle East Series Editor: Nora Ann Colton
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BANKING PALGRAVE MACMILLAN STUDIES IN BANKING AND FINANCIAL INSTITUTIONS


Series Editor: Philip Molyneux Features international research on contemporary themes in the banking industry. This series also includes studies of banking systems in particular countries or regions, as well as studies of issues which impact and inuence systems globally.

Modern Bank Behaviour


Juan Fernndez de Guevara Radoselovics, Assistant Professor, he has jointly published more than ve books and several articles in Spanish and international journals and Jos Pastor Monslvez, Associate Professor, both at Universitat de Valncia, Spain (he specialises in banking and regional economics;. Co-author of thirteen books and has published more than forty articles in academic journals

Sovereign Debt Crisis


The New Normal and the Newly Poor
Dimitris N. Chorafas, has advised nancial institutions and industrial corporations since 1961, he is author of more than 150 books, translated in over 16 languages

Crisis, Risk and Stability in Financial Markets


Edited by Juan Fernndez de Guevara Radoselovics, Assistant Professor and Jos Pastor Monslvez, Associate Professor, both at Universitat de Valncia, Spain

An updated insight into the key facts impacting on nancial institutions after the nancial crisis, highlighting areas of major policy and academic interest. It also includes ten chapters analyzing contrasting issues such as intellectual capital, cost efciency, bank stability, credit risk and business models for the wealth management industry.
Contents: Introduction; J.F.de Guevara & J.M.Pastor / The Miss-selling of Payments Protection Insurance in Mortgage and Unsecured Lending Markets; J.K.Ashton & R.S.Hudson / The Relationship between Mortgage Credit and Property Prices: The Chinese Case; S.Carb-Valverde, F.Rodriguez-Fernandez & M.Qi / Bank Restructuring and Bank Stability in Latin America; N.Vo & J.Williams / Monetary Policy and Trade Credit: Evidence for Spain; S.Carb-Valverde, J.M.Mansilla-Fernndez & F.Rodrguez-Fernndez / The Assessment of the NSFR Value. Evidence from the Financial Crisis; L.Chiaramonte, B.Casu & R.Bottiglia / Distance and Efciency in the Italian Banking System; C.Bernini & P.Brighi / Total and Financial Cost Efciency in Spanish Savings Banks; C.Prez-Crceles, J.C.Gmez-Gallego & J.Gmez-Garca / Empirical Analysis of Intellectual Capital Disclosure Practices in Banks: Spain, Portugal and Greece; G.Gigante & D.A.Previati / Too Small or Too Low? New Evidence on the 4-factor Model; P.Brighi, S.dAddona & A.Bina / A Business Model Map in the Wealth Management Industry; C.Lucarelli & S.Maggi
August 2012 Hardback 272pp 65.00 216x138mm 978-1-137-00185-6

Restructuring the balance sheets of Western governments, banks and households is an important issue in the recovery after the recent crisis. Chorafas latest book focuses on sovereign debt, sovereign risk and the developing economic and nancial business climate and explains why the year of the big crisis may fall in the middle of this decade.
Contents: PART I: FINANCIAL RISKS WHICH KEPT PILING UP / The Worlds New Normal Economic System / The Newly Poor / The Salient Problem is Rights without Responsibilities / PART II: LOOSE MONETARY AND FISCAL POLICIES LEAD TO THE DESTRUCTION OF WEALTH / Japanication / Conventional and Unconventional Weapons in a Central Banks Arsenal / Fiscal Policies, Spending Policies and Conicting Aims / Restructuring Sovereign Balance Sheets / PART III: EUROLANDS FINANCIAL INTEGRATION AND SOVEREIGN RISK / Woes of Eurolands Financial Integration / Sovereign Risk: Case Study on Greece / Germany, France, Britain, Ireland and Club Med / PART IV: THE NEW NORMALS EFFECT ON THE WESTERN ECONOMY / The North Atlantic Similarities are Greater Than You Think / The Eus Banking Industry and its Stress Testing / The Global Systemic Risk has been Programmed for 2014
June 2011 5 gures Hardback 296pp 65.00 216x138mm 978-0-230-29840-8

This book presents an in-depth appreciation of topics related to the behaviour of nancial institutions in the crisis and stresses areas of major research interest. It covers a selection of papers ranging from the analysis of bank and stock market performance in the crisis, to microinsurance and social lending.
Contents: Introduction; J.F.de Guevara & J.M.Pastor / Financial Stability and Economic Growth; S.C.Valverde & L.Pedauga / Financial Crisis and EU Banks Performance; T.Lindblom & M.Willesson / Diversication, Diversity and Systemic Risk in European Banking; P.Morelli, G.B.Pittaluga & E.Seghezza / Basel III, Pillar 2: The Role of Banks Internal Control Systems; E.Gualandri / Shadow Banking and Systemic Risk: In Search for Regulatory Solutions; G.A.Vento & P.la Ganga / Social Lending in Europe: Structures, Regulation and Pricing Models; M.La Torre & F.Mango / Banks Ratings, Financial Crisis and Size of the Entities; C.Salvador, J.M.Pastor & J.F.de Guevara / Stock Exchanges Mergers at the Aftermath of the Crisis. New Insights; M.Polato & J.Floreani / Sustainability and Financial Inclusion on the Microinsurance; M.de la Cuesta, C.Ruza & F.J.Garayoa
August 2012 Hardback 272pp 65.00 216x138mm 978-1-137-00182-5

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Collection of papers presented at the European association of University Teachers of Banking & Finance Conference, Valencia, Spain, 2011

Collection of papers presented at the European association of University Teachers of Banking & Finance Conference, Valencia, Spain, 2011

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BANKING

Financial Structures and Regulation


A Comparison of Crises in the UK, USA and Italy
Alessandro Roselli, Visiting Fellow, Cass Business School, UK, he has written extensively on banking, nance and economic history

Credit Guarantee Institutions and SME Finance


Edited by Paola Leone, Professor of Banking and Finance, Sapienza University of Rome, Italy and Gianfranco A. Vento, Associate Professor of Banking and Finance, Guglielmo Marconi University, Italy

Emerging Asia
Essays on Crises, Capital Flows, FDI and Exchange Rates
Ramkishen S. Rajan, Associate Professor, School of Public Policy, George Mason University, USA

Dr. Rosellis book is essential reading for all who wish to understand the recent crisis and make reoccurrence less likely. It combines understanding of history with economic analysis and the experience and knowledge of a practicing central banker. This is political economy at its best readable, well informed, and thoughtful. - Geoffrey Wood, Cass Business School, UK and University of Buckingham, UK A survey of past nancial crises, starting with the great banking collapses of the interwar period. The current turmoil has prompted a number of questions regarding both its origins and ways to avoid its repetition. The historical background and the evolving institutional framework of banking and nancial systems are at the centre of this book.
Contents: Introduction / PART I: THE INTERWAR PERIOD / Financial Depth in Three Economies: The UK, the USA, Italy / The Great Depression and Britain / The United States: Boom and Depression / Italy: Finance in a Fascist State / PART II: FINANCIAL STABILITY AND EVOLUTION IN THE POSTWAR DECADES (A GOLDEN AGE?) / Financial Deepening in the Three Economies / The United Kingdom: Not So Stable / The United States: Big Government and Big Bank / Italys Recovery / PART III: THE RECENT PERIOD / The Broad Framework / Financial Structure of the Three Economies: Never So Deep / Growth and Collapse of the Shadow Banking System in the United States / A Severe Test for London as the World Financial Centre / Italy: Financially More Stable, but Structural Problems Persist / Conclusion
November 2011 304pp 26 b/w tables and 14 gures Hardback 65.00 216x138mm 978-0-230-28494-4

This book analyzes and confronts the functioning of guarantee systems for SMEs in countries where these schemes had an important development. It also highlights how the current nancial crisis is modifying the guarantees schemes, through policy maker interventions.
January 2012 384pp 148 b/w tables and 71 gures Hardback 65.00 216x138mm 978-0-230-29539-1

'...the volume rests on a foundation of extensive and highquality research. It is well written, organized rationally and contains a wealth of bibliographical references and an array of pertinent empirical data. - Robert L. Currey Jr. California State University, Asean Economic Bulletin This book takes a look at the different aspects of international economic policy, covering nancial crises, reserve accumulation, capital ows and currency wars as well as issues relating to foreign direct investment and developments in China and India.
Contents: PART I: CRISIS, CAPITAL FLOWS AND EXCHANGE RATES IN ASIA / PART II: EXCHANGE RATE VOLATILITY, CRISES AND CONTROLS IN EMERGING ECONOMIES / The Problem with Exchange Rate Volatility / PART III: ASIA AND THE GLOBAL FINANCIAL ARCHITECTUREPART IV: MONETARY AND FINANCIAL ISSUES IN INDIA PART V: FOREIGN DIRECT INVESTMENT ISSUES IN ASIA A Full Table of Contents is Available at: http://www. palgrave.com/products/title.aspx?pid=381812
April 2011 192pp 27 b/w tables and 40 gures Hardback 63.00 216x138mm 978-0-230-23845-9

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Japans Financial Slump


Collapse of the Monitoring System under Institutional and Transition Failures
Yasushi Suzuki, Professor of Finance, Ritsumeikan Asia Pacic University, Japan

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April 2011 240pp 24 gures and 23 b/w tables Hardback 68.00

Evaluates the salient features of Japanese relation-based banking, particularly in the post war period, and Anglo-American mode of banking to explain the nature and extent of transition failure that caused prolonged nancial and economic slump in Japan.
216x138mm 978-0-230-29034-1

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BANKING PALGRAVE MACMILLAN STUDIES IN BANKING AND FINANCIAL INSTITUTIONS CONT...

Corporate Income Tax Harmonization in the European Union


Daniela Prvu, Lecturer, Department of Economic Theory and Finance, University of Pitesti, Romania

Bank Regulatory Reforms in Africa


Edited by Victor Murinde, Professor of Development Finance, Birmingham Business School, UK

Greek Banking
From the Pre-Euro Reforms to the Financial Crisis and Beyond
Fotios Pasiouras, Assistant Professor, Technical University of Crete, Greece; Co-Editor of the International Journal of Banking, Accounting and Finance, he has published around 50 papers in international journals

From a period of growth and considerably high levels of protability, Greek banks recently found themselves battling a major decrease in demand in the local market, and an increase in non-performing loans. How is the Greek banking system able to survive the crisis? This is discussed by looking at the last fteen years of the Greek banking system.
Contents: Overview of the Greek Banking Sector / Macroeconomic and Institutional Environment / Nonbanking Financial Institutions & Capital Markets / Central Banking and Policy Responses to the Crisis / Supervisory Framework / Retail Banking / Performance of the Banking Sector in Greece / Banking Risks / Corporate Governance / Recent Developments and Future Challenges
August 2012 256pp 70 gures and 33 b/w tables Hardback 65.00 216x138mm 978-0-230-35608-5

Through the arguments for corporate tax harmonization in the EU and describing the current stage of this process, the legislative rules which are insufcient to solve the many problems implied by the proper functioning of the Single Market, are revealed. The book also exposes the issues involved in the consolidation of the corporate tax base.
Contents: Introduction / The New Harmonization Issue in the European Union / The Evolution of Tax Harmonization in the European Union / The Need for EU Coordination of Corporate Income Taxes: Facts and Statistics / Objectives of the Corporate Tax Income Coordination within the European Union / Coordination Systems of the Corporate Income Tax within the European Union / Effects of the Corporate Income Tax Harmonization / Coordination within the European Union / The Impact Assessment of the Common Consolidated Corporate Tax Base / Supporters and Opponents of the Corporate Tax Income Coordination within the European Union / Conclusion
August 2012 224pp 216x138mm 4 b/w tables, 8 gures and 8 diagrams Hardback 65.00 978-1-137-00090-3

In the wake of the recent nancial crisis that has created enormous regulatory risks, changes in the content of banking regulation are crucial. In this book, policy makers and advisors from central banks across Africa discuss this topical subject, focussing on how to enhance bank competition and intermediation efciency in the region.
Contents: Preface; W.Lyakurwa / Keynote: Progress with Bank Regulation Reforms in Kenya; N.Ndungu / Bank Regulation in Africa: From Basel I to Basel II, and now at a Crossroads; V.Murinde / A Comparative Overview of Bank Regulatory Experiences and Impact on Bank Competition and Intermediation Efciency; K.Mlambo, L.Kasekende & V.Murinde / Regulatory Reforms and their Impact on the Competitiveness and Efciency of the Banking Sector: A Case Study of Kenya; F.Mwega / Bank Competition, Risk Taking and Productive Efciency: A Case Study of Banking Reforms in Nigeria; T.Zhao / Financial Sector Reforms, Bank Competitiveness, Efciency and Economic Growth: A Case Study of Zambia; A.Mwenda / Regulatory Lessons from Evidence on Competitiveness and Efciency of the Banking Sector and Economic Growth in Egypt; S.Poshakwale & B.Qian / The Competitiveness of Financial Services after Bank Restructuring: Lessons from Algeria; H.Salah
December 2011 216pp 49 b/w tables and 43 gures Hardback 60.00 216x138mm 978-0-230-31333-0

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BANKING

The Nigerian Banking Sector Reforms


Power and Politics
Seth Apati, former Journalist, Economist and Adviser to some of Africa's largest banks and multinational corporations

Bancassurance in Europe
Past, Present and Future
Edited by Franco Fiordelisi, Associate Professor of Banking and Finance and Ornella Ricci, Assistant Professor of Banking and Finance, both at University of Roma, Italy

Basel III, the Devil and Global Banking


Dimitris N. Chorafas has advised nancial institutions and industrial corporations since 1961, he is author of more than 150 books, translated in over 16 languages

This is the rst comprehensive book on the politics and economics of nancial sector consolidation in an emerging market in West Africa. It draws on the authors twenty years experience working with multinationals in this oil-rich zone, to address key issues and examine banking reform in one of the worlds fastestgrowing economies.
Contents: Preface / Banking Reforms in Emerging Markets: An Introduction / The Nigerian Banking System: The Case for Reforms / Restructuring the Regulator / Does Size Matter? The Quest for Trans-National Banks / Policy on the Run: Ination, Currency Redenomination and Bank Manipulation / Revaluation / Politics of Banking Reforms / Corporate Governance and Restructuring / The Road Ahead: Sustainability of Bank Reforms / Bibliography / Index
December 2011 224pp 7 b/w tables and 8 gures Hardback 65.00 216x138mm 978-0-230-27841-7

Offers a comprehensive view on bancassurance from its origin to future challenges and opportunities, considering the relevant changes currently interesting the nancial services industry. It also provides a detailed review of theoretical and empirical literature dealing with nancial conglomeration.
Contents: Introduction; F.Fiordelisi & O.Ricci / The Development of Bancassurance in Europe; O.Ricci / Bancassurance Products; M.G.Starita / Bancassurance: The Market Reality in Europe; M.Caratelli / The Regulatory Framework; M.G.Starita / Insurance Financial Statements; S.Pucci / Studying the Bancassurance Phenomenon: A Literature Review; O.Ricci / Studying the Bancassurance Phenomenon: An Empirical Exploratory Analysis on a European Sample; F.Fiordelisi & O.Ricci / Studying the Bancassurance Phenomenon: A Two Side Analysis on the Relevant Case of Italy; F.Fiordelisi & O.Ricci / Conclusions; F.Fiordelisi & O.Ricci
November 2011 248pp 26 b/w tables and 29 gures Hardback 60.00 216x138mm 978-0-230-27155-5

The banking industry extensively lobbied against Basel III and governments have been keen to delay its full implementation. Chorafas latest book takes a well-rounded approach on Basel IIIs strengths and weaknesses and explains how, without deep restructuring of the global banking industry, (like Basel II) Basel III will fail.
Contents: PART I: THE PERPETUAL MOTION OF GLOBAL FINANCE / Finance and Banking are Time and Motion Machines / Global Banking and Systemic Risk / Basel III is a Grand Compromise, Not a Bold Initiative / PART II: BASEL III AND THE NOTION OF GLOBAL RISK / Is it Possible to Regulate Financial Markets in Perpetual Change? / Capital Adequacy and Liquidity. The Devil is in the Detail / Home-Host Issues Haunt Bankers and Regulators / PART III: RISK MANAGEMENT NEEDS A NEW CULTURE / The Concept of Risk Management Must be Thoroughly Revamped / Correlation Risk Overwhelms the Global Banking Industry / Risk Control Requires Authority, Goals and Organization / PART IV: BASEL III SHOULD ALSO ADDRESS THE PERPETUAL MOTION FINANCIAL MACHINE OF SOVEREIGNS AND CENTRAL BANKS / By Salvaging Overleveraged Banks, Sovereigns Propagate Global Systemic Risk / Whats the Sense of Central Banks Interventions?
November 2011 304pp 2 b/w tables and 12 gures Hardback 65.00 216x138mm 978-0-230-35377-0

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BANKING PALGRAVE MACMILLAN STUDIES IN BANKING AND FINANCIAL INSTITUTIONS CONT...

Bank Performance, Risk and Firm Financing


Edited by Philip Molyneux, Professor of Banking and Finance, Bangor University

The Gold Standard Peripheries


Monetary Policy, Adjustment and Flexibility in a Global Setting
Edited by Anders gren, Uppsala University, Sweden and Lars Fredrik ksendal, Norwegian School of Economics, Norway

European Banking
Enlargement, Structural Changes and Recent Developments
zlem Olgu, Assistant Professor of Accounting and Finance, Ko University, Turkey

Despite considerable progress on political and economic convergence over the last decade, nancial structures of individual countries within the EU remain diverse. This book considers the future prospects of the banking industry in the context of enlargement, application of the IFRS and a potential new member country, Turkey.
Contents: Introduction / Creating a Functioning European Union / Enlargement of the European Union / Macroeconomic Structure of the EU Countries / Banking Structures of the EU Countries / Financial Integration, Efciency and Balance Sheet Structure at European Banking Sector / Global Financial Crisis and State of European Banking Sector / Turkey- A Prospective Member Country / Concluding Remarks
October 2011 288pp 62 gures and 50 b/w tables Hardback 65.00 216x138mm 978-0-230-23171-9

Comprizes a selection of papers that provide insights into bank performance, risk and rm nancing post crisis that were presented at the European Association of University Teachers of Banking and Finance Conference held at Bangor University, 2010.
July 2011 320pp 90 b/w tables and 32 gures Hardback 65.00 216x138mm 978-0-230-31335-4 December 2011 288pp 21 b/w tables and 46 gures Hardback 65.00

Addresses the experience of the gold standard peripheries; i.e. regime takers with limited inuence on the regime. How did small countries adjust to an international monetary regime with seemingly little room for policy autonomy?
216x138mm 978-0-230-34317-7

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Banking in China
2nd edition

Bank Strategy, Governance and Ratings


Edited by Philip Molyneux, Professor of Banking and Finance, Bangor University

Violaine Cousin, Credit Analyst, currently based in Germany

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A selection of papers that provide insights into research focusing on dimensions of bank strategy, governance and the role of credit rating agencies that were presented at the European Association of University Teachers of Banking and Finance Conference, 2010.
July 2011 328pp 71 b/w tables and 13 gures Hardback 65.00 216x138mm 978-0-230-31334-7

Chinese banks have been making headlines recently, but what lies beneath? Banking in China appears different. What explains the current arrangement? What can we expect from such a banking industry in the future? This book answers these two questions in a fully revised second edition and contributes to a new understanding of Chinese banks.
May 2011 360pp 83 b/w tables and 14 gures Hardback 65.00 216x138mm 978-0-230-27269-9

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MONETARY ECONOMICS MONETARY ECONOMICS

Genesis of the Financial Crisis


Roderick Macdonald, Professor, Department of Management and Technology, cole des Sciences de la Gestion, Canada

HIGHLIGHT
The Money Trap
Escaping the Grip of Global Finance

A complete and accessible explanation of the factors contributing to the onset of the 2007 nancial and economic crisis. The myriad factors are explained in an orderly way with simple terms. The anticipation (or not) and reception of the crisis by mainstream economists and by Austrian economics leads to reection on the state of economic theory.
Contents: PART I: THE CRISIS OF 2007-2010 / The Nature and Effects of the 2007-2010 Crisis and Ways to Resolve It / The Nature of the 2007 Financial Crisis / An Overview of the Financial Sector / Was this a Crisis for Everyone? / Some Effects of the Toxic Assets / First Effect: Difculties in Routine Economic Transactions / Second Effect: Shrinkage of Habitual Sources of Financing / Third Effect: Deation / Why we should Care: What Happens if there is No Bailout -the Mainstream View / An Alternative View on the Crisis: Austrian Economics / PART II: THE GENESIS OF THE CRISIS / The Roots of the Crisis / Some Basics About Shelter and Home Ownership / The Historical Context / The Mechanics of the Crisis / Investment Banking and Various Fund Managers / Mortgages and the Hierarchy of Markets: from Construction to Mortgage Backed Securities / Securitization / Imperfections / Three Chronologies and the Genesis of the 2007-2010 Crisis / Overview / Chronology of U.S. Government Interventions in Housing / Spasms in US Housing / The ABCP (Securitization) Bubble that Preceded the 2007 Financial Crisis / Securities / The Ball of Yarn Unravels / Conclusion / PART III: REMEDIES AND REPARTEE Bibliography / Index
June 2012 192pp 17 gures and 12 b/w tables Hardback 60.00 216x138mm 978-0-230-29853-8

Robert Pringle, Chairman and Founder of the Central Banking Journal; Financial Commentator, Consultant, Economics Editor and Entrepreneur Foreword by Lord Skidelsky
'...embodies an original, ambitious, bold, and provocative approach to the subject of the crisis and the monetary system...A valuable addition to the literature available for policy makers, analysts, academics and participants in nancial markets.' - Dr Y. V. Reddy, Former Governor, Reserve Bank of India 'This book cuts through all the carping and obfuscation to pinpoint the biggest burden on business enterprise: the lack of reliable money.' - Graham Bannock Co-author (with R.E.Baxter), The Palgrave Encyclopedia of World Economic History

'...lucidly written and wide-ranging treatment of the global nancial crisis...it will be read with prot by all manner of practitioners and commentators.' - Forrest Capie, Professor Emeritus in Economic History, CASS Business School, London, UK 'It is always very important to review history, particularly the history of past mistakes. By doing that, we can see how we should behave in the future when similar crises hit us. Robert Pringles book does exactly that. It contributes greatly to our understanding of the present international nancial system.' -Eisuke Sakakibara, Professor of Waseda University, Tokyo and Former Vice Minister of Finance and International Affairs of Japan The world economy is caught in a money trap. Existing monetary arrangements meet the needs neither of the ageing societies of the West nor of younger emerging economies. This in-depth analysis explains how the world got into the grip of global nance - and how it can escape, with a growing demand for reform.
Contents: PART I: IN THE TRAP / Into the Danger Zone / Why Players Need a New Rulebook /
How Monetary Systems are Born / World Money without an Anchor / PART II: SEARCHING FOR WAYS OUT / Improving National Policies / A Solution for the Eurozone / Money International / PART III: FOUR KEY ISSUES / Those Global Imbalances / The Reserve Currency Overhang / Can Banks Be Made Safe? / Markets, States and Bubbles / PART IV: HARNESSING THE POWER OF GLOBAL FINANCE / 100 Years of Currency Plans / The Choice of the Standard / Towards a Real Global Currency / The Emerging Global Financial System

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May 2012 Hardback 304 pp 65.00 216x138mm 978-0-230-39274-8

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MONETARY ECONOMICS QUANTIATIVE METHODS

The Global Curse of the Federal Reserve


Manifesto for a Second Monetarist Revolution
Brendan Brown, Executive Director and Head of Economic Research, Mitsuibishi (UFJ) Securities International plc, UK

Central Banks and Coded Language


Risks and Benets
Elke Muchlinski, Lecturer in Economics, Free University, Berlin

QUANTITATIVE METHODS

Essential Quantitative Methods


For Business, Management and Finance 5th edition
Les Oakshott, Associate Fellow, Warwick Business School, University of Warwick, UK

Brendan Brown, premire market economist, draws on his deep knowledge of economics, history and markets to expose the Fed as a great destabilizing force. - Steve H. Hanke, Professor of Applied Economics, Johns Hopkins University, USA This book reveals how the Global Credit Bubble and Bust of 2003-10 stemmed from giant monetary disequilibrium created by the Federal Reserve. Almost continually that institution has pursued awed monetary practice and principle which has mutated into Bernanke-ism. The book dissects this and shows how it threatens the return of economic prosperity.
Contents: A 100-Year Monetary Disorder / Phobia of Deation Menaces Prosperity / Manifesto for a Second Monetarist Revolution / Currency War Machine / Revolt Against Bernanke-ism
July 2011 Hardback 200pp 65.00 216x138mm 978-0-230-29027-3

Explores the implications of the modern view of central banks rising from the proposition that words have no meaning beyond their use in a particular context and setting. It studies coded language to explain why a central banks decisions and communicative interactions cant be devoted to a coded language which is an articial language.
Contents: Introduction / The Way Out of Monetary Mystique / A Conceptual Framework for Central Bank Communication / Central Banking and Communication as a Function of Circumstance / Economics and Language / Language Expectations / Conclusion / Bibliography
May 2011 Hardback 280pp 68.00 216x138mm 978-0-230-23228-0

A beautifully produced text. This new edition must surely be one of the most friendly and effective offerings in the eld. Seriously impressive. - Jim Freeman, University of Manchester, UK A great value, student-friendly introduction to quantitative methods. The book covers the essentials, whilst also appealing to more advanced students. Focused on problem-solving in a real business context, with plenty of pedagogical features and real world examples, students are guided through the subject clearly and methodically.
Contents: Preface / Notes / Acknowledgements / PART I: MATHEMATICAL APPLICATIONS / Revision Mathematics / Keeping up with Change: Index Numbers / PART II: COLLECTING & INTERPRETING DATA / Collecting Data: Surveys and Samples / Finding Patterns in Data: Charts and Tables / Making Sense of Data: Averages and Measures of Spread / PART III: PROBABILITY & STATISTICS / Taking a Chance: Probability / The Shape of Data: Probability Distributions / Interpreting with Condence: Analysis of Sample Data / Checking Ideas: Testing a Hypothesis / Cause and Effect: Correlation and Regression / PART IV: DECISION MAKING TECHNIQUES / How to Make Good Decisions / Choosing Wisely: Investment Appraisal / Forecasting: Time Series Analysis / Making the Most of Things: Linear Programming / Planning Large Projects: Network Analysis / Appendices / Index
February 2012 Paperback 512pp 37.99 246x189mm 978-0-230-30266-2

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QUANTIATIVE METHODS

Quantitative Methods
for Business, Management and Finance 3rd edition
Louise Swift and Sally Piff, both at University of East Anglia, UK

Economic Forecasting and Policy


2nd edition
Nicolas Carnot, French Ministry of Finances, France, Vincent Koen, Principal Economist OECD, France and Bruno Tissot, Senior Economist, Bank for International Settlements, Switzerland

The Practice of Statistics for Business and Economics


International Version 3rd edition
David S. Moore, George P. McCabe, Bruce Craig, all at Purdue University, USA, Layth Alwan, University of Wisconsin-Milwaukee, USA and William M. Duckworth, Creighton University, USA

'This is one of the best statistics textbooks I've read.The way this book combines statistical theory with real data (using SPSS) is excellent.' - John Simister, Management Department, Birkbeck College, University of London, UK Quantitative Methods is a comprehensive guide to the techniques any student of business or nance is likely to need. The authors' coaching, learning-by-doing approach coupled with the text's clear structural outline makes these essential mathematical skills far less daunting.
Contents: PART I: ESSENTIAL MATHS / Numbers and Symbols / Simplifying Expressions / Solving Problems / Modelling Using Straight Lines / PART II: MORE MATHS / Some Special Equations / Modelling Using Curves / Rates of Change / PART III: DESCRIBING DATA / Pictures of Data / Summarising Data /PART IV: PROBABILITY / Measuring Uncertainty / Numerical Outcomes / Continuous Numerical Outcomes / Some More Probability Distributions / PART V: STATISTICS / Estimation / Testing Hypotheses / Correlation & Regression / Comparing Two Populations / Nonparametric Methods / Categorical Data / Forecasting / Statistics in Practice / PART VI: BUSINESS MODELLING / Linear Programming Models / Planning Projects / Models for Inventory Control / Time and Money / Decision Making / Simulating Reality / Controlling Quality / STATISTICAL TABLES / Cumulative Binomial Probabilities / Cumulative Standard Normal Probabilities / Percentage Points of the Standard Normal Distribution / Random Digits / Percentage Points of the Distribution / Percentage Points of the x2 Distribution
March 2010 Paperback 856pp 39.99 246x189mm 978-0-230-21824-6

Economic Forecasting provides a comprehensive overview of macroeconomic forecasting. The focus is rst on a wide range of theories as well as empirical methods: business cycle analysis, time series methods, macroeconomic models, medium and long-run projections, scal and nancial forecasts, and sectoral forecasting.
July 2011 520pp 30 b/w tables and 37 graphs Hardback 65.00 Paperback 30.00 234x156mm 978-0-230-24321-7 978-0-230-24322-4

Immerses students in the course immediately, involving them in practical, statisticssupported business decision making from the outset. Using real data to provide a context for tackling modern business problems, it introduces a range of core ideas early - including data production and interpretation.
Contents: PART I: DATA / Examining Distributions / Examining Relationships / Producing Data / PART II: PROBABILITY AND INFERENCE / Probability and Sampling Distributions / Probability Theory / Introduction to Inference / Inference for Distributions / Inference for Proportions / PART III: TOPICS IN INFERENCE / Inference for Two-Way Tables / Inference for Regression / Multiple Regression / Statistics for Quality: Control and Capability / Time Series Forecasting / One-Way Analysis of Variance / PART IV: OPTIONAL INDIVIDUAL COMPANION CHAPTERS / Two-Way Analysis of Variance / Nonparametric Tests / Logistic Regression
May 2011 Pack 787pp 52.99 253x210mm 978-1-4292-9014-2

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Applied Econometrics
2nd edition
Dimitrios Asteriou, Associate Professor of Quantitative Methods, Hellenic Open University, Greece and Stephen G. Hall, Professor of Economics, University of Leicester, UK

Published by W. H. Freeman
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The second edition of this highly successful text renes existing strengths and adds signicant new material expanding the scope of the book and making it a more exible teaching tool. In addition to providing instructions for performing all tests in EViews and Microt, the book now includes instructions for STATA.
June 2011 528pp 246x189mm 152 b/w tables, 65 gures Paperback 35.99 978-0-230-27182-1 http://www.palgrave.com/products/title.aspx?pid=395937

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11

FINANCE AND FINANCIAL MARKETS FINANCE AND FINANCIAL MARKETS

Discounting, Libor, CVA and Funding


Interest Rate and Credit Pricing
Chris Kenyon, Quantitative Analyst and Vice President, Credit Suisse, formerly Associate Director, DEPFA Bank PLC and a regular writer and conference speaker, his papers have appeared in International Journals and Roland Stamm, Managing Director, Depfa Bank, Frankfurt, Germany

Credit Scoring, Response Modeling, and Insurance Rating


A Practical Guide to Forecasting Consumer Behavior 2nd edition
Steven Finlay, Head of Analytics, HML, UK

Money, Banking, and Financial Markets


2nd edition
Laurence M. Ball, Professor of Economics, Johns Hopkins University, USA

This is a breakthrough text that closes the gap between economic theory and the day-today behaviour of banks and nancial markets. Working from a macro framework based on the Feds use of interest rate, Ball presents the core concepts necessary to understand the problems of the stock market and the causes of recessions and banking crises
Contents: PART I. FOUNDATIONS / The Financial System / Money and Central Banks / PART II: FINANCIAL MARKETS / Asset Prices and Interest Rates / What Determines Interest Rates? / Securities Markets / Foreign Exchange Markets / PART III: BANKING / Asymmetric Information in the Financial System / The Banking Industry / The Business of Banking / Bank Regulation / PART IV: MONEY AND THE ECONOMY / The Money Supply and Interest Rates / Short-Run Economic Fluctuations / Economic Fluctuations, Monetary Policy and the Financial System / Ination and Deation / PART V: MONETARY POLICY / Policies for Economic Stability / Monetary Institutions and Strategies / Monetary Policy and Exchange Rates / Financial Crises
January 2012 Hardback 608pp 48.99 234x156mm 978-1-4292-4409-1

The credit and sovereign debt crises have fundamentally changed the way participants in the global nancial markets perceive credit risk. The effects of this change have been studied by many leading experts in Mathematical Finance, but to date there is no single volume that combines the results of this research and presents them at a level suited for practitioners and students alike. This book aims to close this gap and make the reader familiar with the new way of pricing interest rate and credit products in the post-crisis markets. Coverage includes: Discounting Future Cash Flows /Building Appropriate Interest Curves / The Different Kinds of Credit and Basis Spreads/ Why Even the Simplest Financial Products can Suddenly be Difcult to Price / What is the Nature of CSA, CVA and OIS? / What does Basel III have to do with all this?
August 2012 HardbacK 170pp 39.99 234x156mm 978-1-137-26851-8

A guide to how Predictive Analytics is applied and widely used by organizations such as banks, insurance providers, supermarkets and governments to drive the decisions they make about their customers. Examples include who to target with a promotional offer, who to give a credit card to and the premium someone should pay for home insurance.
Contents: Introduction / Project Planning / Sample Selection / Gathering and Preparing Data / Understanding Relationships in Data / Data Transformation (Preprocessing) / Model Construction (Parameter Estimation) / Validation, Model Performance and Cut-off Strategy / Sample Bias and Reject Inference / Implementation and Monitoring / Multi-model (Fusion) Systems / Further Topics / Bibliography
August 2012 304pp 32 gures and 31 b/w tables Hardback 65.00 216x138mm 978-0-230-34776-2

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FINANCE AND FINANCIAL MARKETS

Private Company Valuation


How Credit Risk Reshaped Equity Markets and Corporate Finance Valuation Tools
Gianluca Oricchio, Professor of Finance and Capital Markets, Campus Bio-Medico University, Italy

Finance, Investment Banking and the International Bank Credit and Capital Markets
A Guide to the Global Industry and its Governance in the New Age of Uncertainty
Brian Scott-Quinn, Chairman, ICMA Centre for Financial Markets, Henley Business School , UK

Financialization and Government Borrowing Capacity in Emerging Markets


Iain Hardie, Lecturer in International Relations, University of Edinburgh, UK

The recent crisis in nancial markets has seen a gradual erosion of risk-free asset classes. In equity markets the credit risk has reached a critical level in valuation. A new method for estimating the cost of equity for Private Companies is presented. Global business cases are illustrated to support this.
Contents: Introduction / Private Companies' Equity Valuation Methods / Cost of Equity for Private Companies: The Integrated Pricing Model / Integrated Pricing Model in USA / Integrated Pricing Model in Japan / Integrated Pricing Model in China / Integrated Pricing Model in Russia / Integrated Pricing Model in India / Integrated Pricing Model in Italy
August 2012 294pp 109 gures, 124 b/w tables Hardback 60.00 234x156mm 978-0-230-29144-7

An introductory guide to nance and the nancial markets, designed to help professionals and students understand the complex nance industry. This is a modern text that covers all major developments in markets in the period since the year 2000, the beginning of the global nancial, eurozone and US government debt crises, up to the start of 2012.
Contents: PART 1: THE FUNDAMENTALS OF FINANCE, MARKETS AND THE FINANCIAL FIRMS / PART 2: PRIMARY MARKETS: FUNDING LIQUIDITY AND EXTERNAL CAPITAL ALLOCATION THROUGH CREDIT AND CAPITAL MARKETS / PART 3: SECONDARY MARKETS: MARKET LIQUIDITY AND MARKET FAILURE / PART 4: ASSESSING AND MANAGING RISK IN ASSET PORTFOLIOS / PART 5: INTERNAL CAPITAL ALLOCATION: THE ROLE OF DIRECTORS, INVESTORS AND THE MARKET FOR CORPORATE CONTROL / PART 6: INTERNAL RISK MANAGEMENT AND EXTERNAL REGULATION OF FINANCIAL INTERMEDIARIES AND MARKETS/ PART 7: THE ROLE OF GOVERNANCE AND STRATEGY IN RESOURCE ALLOCATION, FIRM AND INDUSTRY STRUCTURE: CASE STUDIES IN FINANCIAL SERVICES

Hardie investigates the link between the nancialization dened as the ability to trade risk and the capacity of emerging market governments to borrow from private markets. He considers the government bond markets in Brazil, Lebanon and Turkey and includes interviews with 126 nancial market actors.
March 2012 232pp 16 b/w tables and 3 gures Hardback 57.50 216x138mm 978-0-230-36055-6

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Islamic Economics and Finance


A European Perspective
Edited by Jonathan Langton, Cristina Trullols, Professor, both at IE Business School, Spain and Abdullah Q. Turkistani, Director, Islamic Economics Research Center, King Abdulaziz University, Saudi Arabia

International Political Economy Series Series Editor: Timothy M. Shaw


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Private Equity
The German Experience
Paul Jowett, Partner of Roland Berger Strategy Consultants, based in Munich, Germany and Francoise Jowett, has held positions in recruitment and strategy consulting

A Full Table of Contents is Available at: http://www. palgrave.com/products/title.aspx?pid=566141


June 2012 113 gures Hardback 416 pp 29.99 246x189mm 978-0-230-37047-0

The global economic crisis has driven many economists to seek alternatives to the western capitalist model. This book is a collection of papers from the world's most eminent scholars, discussing how this alternative philosophy can be applied in western markets.
November 2011 216pp 3 b/w tables and 8 gures Hardback 60.00 216x138mm 978-0-230-30027-9

IE Business Publishing ebook available from: Palgrave Connect Economics & Finance Collections

Tells the story of the development of the private equity industry in Germany. It is the rst comprehensive history of the private equity industry for any country, revealing the vicissitudes of private equity investing, warts and all. It is an engaging chronicle for anyone interested in the industry or the modern German economy.
January 2011 648pp 216x138mm 50 b/w photographs and 30 b/w tables Hardback 79.00 978-0-230-53776-7 http://www.palgrave.com/products/title.aspx?pid=281115

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13

FINANCE AND FINANCIAL MARKETS

Neoliberalism in Crisis
Edited by Henk Overbeek, Professor of International Relations and Bastiaan van Apeldoorn, Reader in International Relations, VU University, The Netherlands

Marketing Shares, Sharing Markets


Experts in Investment Banking
Jesper Blomberg, Hans Kjellberg, both Associate Professors, Stockholm School of Economics, Sweden and Karin Winroth, Assistant Professor, Sdertrn University, Sweden

The Efcient Market Hypothesists


Bachelier, Samuelson, Fama, Ross, Tobin and Shiller
Colin Read, Professor of Economics and Finance, SUNY College at Plattsburgh, USA

The authors interrogate the condition of the neoliberal project in the wake of the global crisis and neoliberalisms predicted death in 2007, both in terms of the regulatory structures of nance-led capitalism in Europe and North America, and the impact of new centres of capitalist power on global order.
February 2012 280pp 3 b/w tables and 9 gures Hardback 57.50 216x138mm 978-0-230-30163-4

International Political Economy Series Series Editor: Timothy M. Shaw ebook available from: Palgrave Connect Political & International Studies Collections
http://www.palgrave.com/products/title.aspx?pid=507839

Introduces the reader to investment banking by analyzing the practices of traders, analysts, brokers and bankers it reveals how their contrasting perspectives on shares are put to use and the consequences this has for investment banks, corporations, investors and the stock markets.
Contents: Understanding Investment Banking Practices / A Brief History of Investment Banking / Traders Activating the Stock Markets / Analysts Doing Stock Market Science Sort of / Brokers Selling Investment Advice / Bankers - Matchmaking and Midwifery / The Birth of a Share / Behind the Scenes: Management, Risk and Compliance / Organizing Investment Banking / Enacting Stock Markets / Appendix: A Note on Methods
December 2011 272pp 8 b/w tables and 25 gures Hardback 65.00 216x138mm 978-0-230-28067-0

Describes the lives, theories, and legacies of six great minds in nance who changed the way we look at nancial markets and equilibrium. Bachelier, Samuelson, Fama, Ross, Tobin, and Shiller; proponents and critics of the market efciency theories who redened modern nance, creating the foundation on which all nancial analysis rests.
Contents: Preface to the Great Minds in Finance Series / Preamble / Introduction / PART ONE: LOUIS BACHELIER THE FIRST PHYSICIST FINANCIAL THEORIST / Louis Bachelier - The Early Years / The Times / The Theory / Discussion and Applications / Life and Legacy / PART TWO: PAUL SAMUELSON'S RANDOM WALK / Paul Samuelson - The Early Years / The Times / The Theory / Discussion and Applications / The Nobel Prize, Life and Legacy / PART THREE: EUGENE FAMA'S EFFICIENT MARKET HYPOTHESIS / Eugene Fama - The Early Years / The Times / The Theory / Discussion and Applications / Career and Legacy / PART FOUR: STEPHEN ROSS AND ARBITRAGE PRICING THEORY / Stephen Alan Ross The Early Years / The Times / The Theory / Discussion and Applications / Career and Legacy / PART FIVE: JAMES TOBIN AND A NEW POLICY / James Tobin - The Early Years / The Times / The Theory / Discussion and Applications / The Nobel Prize, Life, and Legacy / PART SIX: ROBERT SCHILLER AND IRRATIONAL EXUBERANCE / Robert Shiller - The Early Years / The Times / The Theory / Discussion and Applications / Career and Legacy / PART SEVEN: WHAT WE HAVE LEARNED / Combined Contributions / Conclusions / Glossary / Index / Endnotes
September 2012 256pp Hardback 65.00 216x138mm 978-0-230-27421-1

Challenging Global Finance


Civil Society and Transnational Networks
Elizabeth Friesen, Lecturer in Political Science, Carleton University, Canada

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Friesen demonstrates how transnational CSOs and NGOs can inuence the context in which international political decisions are made. She shows how, by reframing the issues, the transnational campaign for the cancellation of third world debt altered the dominant discourse, shifted the agenda and thereby shaped political outcomes.
January 2012 Hardback 232pp 57.50 216x138mm 978-0-230-34879-0

Great Minds in Finance Series Editor: Colin Read


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FINANCE AND FINANCIAL MARKETS

The Rise of the Quants


Marschak, Sharpe, Black, Scholes and Merton
Colin Read, Professor of Economics and Finance, SUNY College at Plattsburgh, USA

The Life Cyclists


Fisher, Keynes, Modigliani and Friedman
Colin Read, Professor of Economics and Finance, SUNY College at Plattsburgh, USA

The Portfolio Theorists


von Neumann, Savage, Arrow and Markowitz
Colin Read, Professor of Economics and Finance, SUNY College at Plattsburgh, USA

The third book in the Great Minds in Finance series examines the pricing of securities and the risk/reward trade off through the legends, contribution, and legacies of Jacob Marschak, William Sharpe, Fischer Black and Myron Scholes, and Robert Merton, inuencing both theory and practice, answering the question how do we measure risk?
Contents: Preface to the Series / Introduction / A Roadmap to Resolve the Big Questions / PART I: JACOB MARSCHAK / The Early Years / The Times / The Theory / Applications / Life and Legacy / PART II: WILLIAM FORSYTH SHARPE, JOHN LINTNER, JAN MOSSIN, AND JACK TREYNOR / The Early Years / The Times / The Theory / Applications / The Nobel Prize, Life, and Legacy / PART III: FISCHER BLACK AND MYRON SCHOLES / The Early Years / The Times / The Theory / Applications / The Nobel Prize, Life, and Legacy / PART IV: ROBERT MERTON / The Early Years / The Times / The Theory / Applications / The Nobel Prize, Life, and Legacy / PART V: WHAT WE HAVE LEARNED / Combined Contributions / Conclusions / Glossary / Index / Endnotes
July 2012 10 gures Hardback 208pp 65.00 216x138mm 978-0-230-27417-4

Read addresses the contributions of signicant individuals to our understanding of nancial decisions and markets. Great nancial theorists created the basis for what we now know as personal nance and this volume describes four great minds in nance that forever established the role of the rate of return and life cycle decision-making.
Contents: Preface to the Great Minds in Finance Series / Introduction / A World before Fisher / PART I: IRVING FISHER / The Early Years / The Times / The Theory / Applications / Life and Legacy / PART II: JOHN MAYNARD KEYNES / The Early Years / The Times / The Theory / Applications / Life and Legacy / PART III: FRANCO MODIGLIANI / The Early Years / The Times / The Theory / Applications / The Nobel Prize, Life, and Legacy / PART IV: MILTON FRIEDMAN / The Early Years / The Times / The Theory / Applications / The Nobel Prize, Life, and Legacy / PART V: WHAT WE HAVE LEARNED / Combined Contributions / Conclusions
October 2011 232pp 17 gures and 4 b/w tables Hardback 60.00 216x138mm 978-0-230-27413-6

Examines probability, risk, and uncertainty through the contributions of John von Neumann, Leonard Jimmie Savage, Kenneth Arrow and Harry Markowitz. These Portfolio Theorists provided us with a dramatic leap forward in our understanding of and insights into nancial rewards under risk and uncertainty.
Contents: Introduction / A Roadmap to Resolve the Big Question / PART I: JOHN VON NEUMANN / The Early Years for John von Neumann and Oskar Morgenstern / The Times and the Beginning of an Era / The Theory of von Neumann and Morgenstern / Applications and Elaborations of the von Neumann-Morgenstern Model / The Later Life and Legacy of John von Neumann and Oskar Morgenstern / PART II: LEONARD JIMMIE SAVAGE / The Early Years / Friedman and Savages Times / The Theory of Friedman and Savage / Applications of the Concept of Subjective Probabilities / Savages Later Life and Legacy / PART III: KENNETH J. ARROW / Arrows Early Years / The Times / Arrows Great Idea / Applications of the Contingent Claims Model / Arrows Life, Legacy, and the Nobel Prize / PART IV: HARRY MARKOWITZ / The Early Years of Harry Markowitz / The Times and a New Paradigm in Personal Finance / The Theory of an Efcient Portfolio / Applications of Portfolio Theory / The Nobel Prize, Life, and Legacy of Harry Markowitz / PART V: WHAT WE HAVE LEARNED / Combined Contributions in Portfolio Theory / Conclusions
December 2011 240pp 20 gures and 1 b/w table Hardback 65.00 216x138mm 978-0-230-27414-3

Great Minds in Finance Series Editor: Colin Read


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15

FINANCE AND FINANCIAL MARKETS

Regulating Corporate Governance in the EU


Towards a Marketization of Corporate Control
Laura Horn, Assistant Professor of International Relations, Department of Political Science, VU University, The Netherlands

The Spanish Financial System


Growth and Development Since 1900
Jos Luis Malo de Molina, Director General, Research Department, Banco de Espaa, Spain and Pablo Martn-Acea, Professor of Economics and Economic History, Universidad de Alcal de Henares, Spain

Minding the Markets


An Emotional Finance View of Financial Instability
David Tuckett, Visiting Professor, Psychoanalysis Unit, University College London, UK

In the context of the nancial and economic crisis, corporate governance and regulatory supervision failures, Laura Horn investigates one of the dening questions in social power relations in contemporary capitalism: who controls the modern corporation, and why.
November 2011 240pp Hardback 57.50 216x138mm 978-0-230-24750-5

Analyzes the Spanish nancial system from the turn of the last century to the present day and the economic, social and political backdrop to this history. The result is a consummate survey of historical developments leading right up to todays key issues and challenges, and to what the future may hold.
Contents: Introduction / Spain in the 20th Century: The End of the Exception?; S.Juli / A Century of the Spanish Economy; G.Tortella & J.L.Garcia Ruiz / The Main Reforms of the Spanish Financial System; M..Pons / The Spanish Banking System from 1900 to 1975; P.Martin-Acea / The Savings Banks: 1900-1975; F.Comn / The Macroeconomic Basis of the Recent Development of the Spanish Financial System; J.L.Malo de Molina / Banking Supervision and Regulation over the Past 40 Years; R.Poveda / Spanish Securities Markets: Recent Developments and Key Challenges; F.Restoy & R.S.de la Pea / Integration, Competition and Stability of the Financial System; J.Saurina / The Internationalization of the Spanish Financial System; .Berges, E.Ontiveros & F.J.Valero / The Spanish Financial Industry at the Start of 21st Century: Current Situation and Future Challenges; X.Vives
November 2011 464pp Hardback 70.00 246x189mm 978-0-230-35004-5

International Political Economy Series Series Editor: Timothy M. Shaw


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Minding the Markets is a real contribution...a book the world really needs. - George Akerlof, Nobel Laureate and American Economist Read this book if you want to understand the behaviour of nancial markets. - Mervyn King, Governor of the Bank of England ...fascinating reading...As someone who spent 20 years working as an economist in the fund management industry, I found much in it that rang true and I would strongly recommend it to economists working in the nancial sector, or to anyone with an interest in how nancial markets work. - Tony Dolphin, Senior Economist, Institute for Public Policy Research, The Business Economist Tuckett argues that most economists explanations of the nancial crisis miss its essence; they ignore critical components of human psychology. He offers a deeper understanding of nancial market behaviour and investment processes by recognizing the role played by unconscious needs and fears in all investment activity.
Contents: The Special Characteristics of Financial Assets / Four Fund Managers / Narratives, Minds and Groups / Divided States / Finding Phantastic Objects / Experiencing News / Divided Masters / Experiencing Success and Failure / Emotional Finance and New Economic Thinking / Making Markets Safer
May 2011 3 b/w tables Hardback 256pp 26.00 234x156mm 978-0-230-29985-6

Private Ratings, Public Regulations


Credit Rating Agencies and Global Financial Governance
Andreas Kruck, Teaching and Research Associate, Ludwig Maximilian University of Munich, Germany

Credit rating agencies play a powerful and contentious role in the governance of global nancial markets. Introducing an original framework for delegating political authority to private actors, this book explains common trends in the regulatory use of private ratings for public purposes and analyzes regulatory changes after the nancial crisis.
May 2011 Hardback 224pp 57.50 216x138mm 978-0-230-28223-0

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Transformations of the State Series Editors: Stephan Leibfried and Achim Hurrelmann

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FINANCE AND FINANCIAL MARKETS

How Ireland Voted 2011


The Full Story of Irelands Earthquake Election
Michael Gallagher, Professor of Comparative Politics and Michael Marsh, Professor of Comparative Political Behaviour, both at Trinity College, University of Dublin, Republic of Ireland

Crisis
Cause, Containment and Cure 2nd edition
Thomas F. Huertas, Director of the Banking Sector, FSA (Financial Services Authority), he has written extensively on banking and nancial regulation

The Future of Insurance Regulation and Supervision


A Global Perspective
Patrick M. Liedtke, Secretary General and Managing Director, The Geneva Association, Switzerland and Jan Monkiewicz, Professor of Financial Management, Warsaw University of Technology, Poland

The collapse of the Irish Celtic Tiger economy, in the wake of a banking disaster, provoked a joint EU/IMF rescue plan in late 2010. The election that followed saw Europes most successful ever party lose more than half of its vote and almost three quarters of its seats. This book provides the denitive analysis of an electoral earthquake.
October 2011 Hardback Paperback 352pp 65.00 22.99 216x138mm 978-0-230-34881-3 978-0-230-34882-0

A thorough analysis of the current nancial/ economic crisis from the Director of the Banking Sector at the FSA. This edition is updated to take account of changes in regulation and legislation in the US, EU and UK. Many of these changes were in line with the recommendations the author made in the rst edition.
Contents: Introduction / PART I: CAUSE / Rational Exuberance / Too Much of a Good Thing / PART II: CONTAINMENT / Conditional Containment / Moving towards Meltdown / Unconditional Containment / PART III: CURE / Better Macroeconomic Policy / Better Resolution / Better Deposit Guarantee Schemes / Better Regulation / Better Supervision / Conclusion / Notes / References / Index
July 2011 Paperback 256pp 18.99 216x138mm 978-0-230-29831-6

'Written by leading academics, researchers and insurance industry experts, and deals with the aftermath of the recent nancial crisis and the implications that it might have on the future of insurance regulation and supervision. - Efma Journal Offers a diversied perspective on how the regulatory and supervisory framework for the insurance sector will develop over the coming years. It is supported by The Geneva Association, the world-leading insurance think-tank for insurance and risk management issues.
Contents: PART I: THE GLOBAL FRAMEWORK / PART II: THE SUPERVISORY DIMENSION/ PART III: MARKET DIMENSION / PART IV: STAKEHOLDER PROTECTION / PART V: DEVELOPED MARKETS PERSPECTIVE / PART VI: EMERGING MARKETS PERSPECTIVE / PART VII: INTERNATIONAL ISSUES A Full Table of Contents is Available at: http://www. palgrave.com/products/title.aspx?pid=496066

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Legacy of the Crash


How the Financial Crisis Changed America and Britain
Edited by Terrence Casey, Associate Professor of Political Science and Head of Department, Rose-Hulman Institute of Technology

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April 2011 472pp 234x156mm 46 gures, 21 b/w tables and 1 illustration Hardback 130.00 978-0-230-29269-7

When the global nancial system crashed, governments in America and Britain perfomed the greatest bailout in history. The legacy is record government debt, low growth and a new era of austerity. A stellar cast of contributors, provide a sophisticated account of how the administrations are faring since the crash.
September 2011 312pp Hardback 65.00 Paperback 19.99 216x138mm 8 b/w tables 978-0-230-30458-1 978-0-230-30459-8

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FINANCE AND FINANCIAL MARKETS

Finance & Financial Markets


3rd edition
Keith Pilbeam, Professor of International Economics and Finance, City University, London, UK

Basel III Credit Rating Systems


An Applied Guide to Quantitative and Qualitative Models
Luisa Izzi, Head of Model Validation Ofce, BNL-BNP Paribas, Italy, Gianluca Oricchio, Professor of Finance and Capital Markets, Campus Bio-Medico University, Italy and Laura Vitale, Head of Internal Rating Agency, BNL-BNP Paribas, Italy

International Loan Documentation


Sue Wright, International Finance Consultant, UK

'A superb blend of theory, recent practical examples and data analysis allowing students to gain a thorough understanding of the workings of nancial markets and of nancial instruments amongst various nancial issues. It presents an outstanding and unique review of the recent credit crunch with valuable insights and considerable details of its causes and impacts. Students will benet by working through the challenging questions at the end of each chapter. - Jassodra Maharaj, Senior Lecturer in Economics, Royal Docks Business School, University of East London, UK Finance & Financial Markets is a comprehensive and accessible introduction to nance, making the operation of nancial institutions, markets and instruments readily understandable for students on business, economics and nance courses and those wanting to understand the workings of the nancial world.
Contents: The World of Finance / Financial Intermediation and Financial Markets / Financial Institutions / Monetary Policy and Interest Rate Determination / Domestic and International Money Markets / The Domestic and International Bond Market / Portfolio Analysis: Risk and Return in Financial Markets / The Capital Asset Pricing Model / Stockmarkets and Equities / The Efciency of Financial Markets / The Foreign Exchange Market / Theories of Exchange Rate Determination / Financial Futures / Options / Option Pricing / Swap Markets / Financial Innovation and the Credit Crunch / Regulation of the Financial Sector
March 2010 544pp 70 gures and 80 tables Paperback 41.99 246x189mm 978-0-230-23321-8

A comprehensive guide to quantitative and qualitative rating assessments with up-todate methodologies in the international banking system.
Contents: PART I: THE QUANTITATIVE APPROACH TO CREDIT RATING MODELS / PART II: THE QUALITATIVE APPROACH TO CREDIT RATING MODELS / PART III: RATING ASSIGNMENT ON SPECIALIZED LENDING / PART IV: RISK ADJUSTED CREDIT PRICING MODELS
December 2011 368pp 72 b/w tables and 90 gures Hardback 135.00 234x156mm 978-0-230-29424-0

A detailed study of the terms of international loan documentation with comprehensive explanations of the purpose of the provisions and of areas which may require negotiation and with an emphasis on the wording of the Loan Market Association documents. This work covers term loans and revolving credits and includes comparisons of the provisions required for investment grade borrowers, special purpose entities and asset and project based credit risks. It includes discussion of security, due diligence and legal opinions as well as Appendices explaining key issues of English law such as trusts and duciary duties; and a glossary of expressions commonly used in this area. The book thus provides a highly practical and comprehensive resource for bankers and lawyers, at all levels of experience, involved in international lending.
Contents: List of Figures / Introduction / PART 1: ADMINISTRATIVE PROVISIONS / Interpretation / The Facility / Utilization / Repayment, Prepayment and Cancellation / Costs of Utilization / Additional Payment Obligations / PART 2: GUARANTEE, REPRESENTATIONS, UNDERTAKINGS AND EVENTS OF DEFAULT / Guarantee / Representations, Undertakings, and Events of Default / Changes to Parties / The Finance Parties / Administration / Governing Law and Enforcement / SCHEDULES / Appendix 1: English Law Concepts / Appendix 2: Glossary of Terms used in International Lending / Index
December 2005 336pp Hardback 180.00 234x156mm 978-1-4039-4279-1

The Economics of the Financial Crisis


Lessons and New Threats
Marco Annunziata, Chief Economist, General Electric

Through the tools of economics, Annunziatas vivid and gripping book shows how the global nancial crisis was caused by a failure of leadership and common sense in which we all played a role.
Contents: PART I: A BRIEF HISTORY OF SCARY TIMES PART II: GLOBALIZATION: HOPES, FEARS AND SHIFTING POWERS/ PART III: LESSONS RIGHT AND WRONG / PART IV: THE WAY FORWARD
September 2011 248pp 20 charts Hardback 135.00 234x156mm 978-0-230-28281-0

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FINANCE AND FINANCIAL MARKETS FINANCIAL MANAGEMENT

The Future of Private Equity


Beyond the Mega Buy-out
Mark Bishop, Founding Partner of The Management BuyOut Centre LLP, Mark Bishop Associates LLP

FINANCIAL MANAGEMENT

Risk Culture
A Practical Guide to Building and Strengthening the Fabric of Risk Management
Erik Banks, Senior Risk Advisor for UniCredit Go

The International Handbook of Public Financial Management


Edited by Richard Allen, International Monetary Fund, World Bank, Overseas Development Institute in London, UK, Richard Hemming, Duke Center for International Development, Duke University, USA and Barry Potter, Consultant, IMF

The easy money that owed through the banking system prior to 2008 fuelled a boom in buy-outs. Now it is gone, how will the private equity industry reinvent itself? A series of interviews with some of the most respected and innovative rms, give rare insights to the strategies that will drive this secretive sector over the next economic cycle.
Contents: PART 1 / Introduction: Why Private Equity is at a Cross-roads / Jon Moulton, Better Capital / Nick Ferguson, SVG Capital / John Hess, Altius Associates / Jeremy Coller, Coller Capital / PART 2 / Introduction: Growth Themes in Developed Markets / Ajit Nedungadi, TA Associates / Steve Klinsky, New Mountain Capital / Wol Kolade, ISIS Equity Partners / Matthew Collins, Hutton Collins / Garry Wilson, Endless LLP / PART 3 / Introduction: New Models in Emerging Markets / Derek Sulger, Lunar Capital / Niten Malhan, Warburg Pincus / Martin Escobari, Advent International / Mark Goldsmith, Actis / Rod Evison, CDC / Hurley Doddy, ECP / Mustafa Abdel-Wadood and Tom Speechley, Abraaj Capital / Ahmed Heikal, Hisham El-Khazindar, Citadel Capital / Conclusions
December 2012 Hardback 240pp 26.00 234x156mm 978-0-230-35493-7

The International Handbook of Public Financial Management is essential reading for governmental policy-makers, and practitioners and consultants working in this eld, whose importance has been highlighted by the global nancial crisis. It is a primary source for academics and students of economics, public nance, accountancy and public policy.
Contents: PART 1: THE INSTITUTIONAL AND LEGAL FRAMEWORK / PART 2: ALLOCATION OF RESOURCES / PART 3: MANAGING BUDGET EXECUTION / PART 4: MANAGING GOVERNMENT REVENUES / PART 5: LIABILITY AND ASSET MANAGEMENT / PART 6: ACCOUNTING, REPORTING AND OVERSIGHT OF PUBLIC FINANCES

Risk Culture is a practical volume devoted to the qualitative aspects of risk management, including those that should be rmly embedded in the corporate culture. Through descriptions, examples and case studies, the book analyzes weak and strong cultures and proposes a series of structural and behavioural actions to strengthen a company's culture.
Contents: Successful Risk Management / A First Look at Risk Culture / Institutional and Regulatory Considerations / Deciencies and Problems I: Concepts / Deciencies and Problems II: Cases / Building and Strengthening I: Structure and Governance / Building and Strengthening II: Knowledge and Behavior / Gauging Success and Progress / Concluding Thoughts / Selected References
September 2012 208pp 7 b/w tables and 18 gures Hardback 34.99 234x156mm 978-1-137-26371-1

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November 2012 800pp Hardback 150.00 234x156mm 978-0-230-30024-8

Personal Investment
Financial Planning in an Uncertain World
Edited by Mariana Mazzucato, Jonquil Lowe, Alan Shipman and Andrew Trigg

This innovative teaching text provides an introduction to personal investment in a world dened by uncertainty. With a focus on risk, socioeconomic change and the regulatory framework, and a wealth of international case studies, the book covers all the key issues that affect personal investment decisions and their ultimate success or failure.
March 2010 Paperback 448pp 39.99 246x189mm 978-0-230-24660-7

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FINANCIAL MANAGEMENT

Finance: The Discreet Regulator


How Financial Activities Shape and Transform the World
Edited by Isabelle Huault, Professor of Organization Theory, Paris Dauphine University, France and Chrystelle Richard, Associate Professor, ESSEC Business School and Associate Researcher to the ESSEC-KPMG Financial Reporting Centre; She has published articles on the topic of the quality of audit and nancial reporting in various journals.

Mergers and Acquisitions as the Pillar of Foreign Direct Investment


Edited by Aristidis Bitzenis, Assistant Professor, Department of International and European Studies, Vasileios A. Vlachos, PhD Candidate, both at University of Macedonia, Greece, Pyrros Papadimitrios, Lawyer, Economist and Assistant Professor of International Economic Relations, University of Peloponnese, Greece

Personal Finance
2nd edition
Edited by George Callaghan, Ian Fribbance, and Martin Higginson, all Lecturers in Economics, The Open University, UK

Based on a series of well-documented case studies, the book shows how nance shapes and transforms the world.
Contents: Foreword; M.Power / Introduction: Finance: The Discreet Regulator; I.Huault, E.Lazega & C.Richard / PART I: POLYMORPHIC ACTORS AS NETWORKS OF INFLUENCE / Financialization through Hybridisation: the Subtle Power of Financial Controlling; J.Morales & A.Pezet / How Big Four Audit Firms Control Standard Setting in Accounting and Auditing; C.Ramirez / Ambivalence and Ambiguity: The Interpretative Role of Compliance Ofcers; M.Lenglet / Maintaining the Regulative Order in the Credit Rating Agency Industry; B.Taupin / PART II: MARKETS AND STATES: FORMS OF JOINT REGULATION / Banks as Masters of Debt, Cost Calculators, and Risk-sharing Mediators: A Discreet Regulatory Role in the Case of French Public-Private Partnerships; E.Penalva-Icher, C.Richard, A.JenyCazavan & E.Lazega / Market Information as a Public Good. The Political Economy of the Revision of the Markets in Financial Instruments Directive (MiFID); P.Lagneau-Ymonet & A.Riva / Finance in Public Service: Discreet Joint Regulation and Institutional Capture at the Commercial Court of Paris; E.Lazega & L.Mounier / PART III: THE PROCESS OF RULES' PRODUCTION / How Finance Regulates Trade Union Involvement in French SRI; E.Penalva-Icher / Constructing the Market for Credit Derivatives. How Major Investment Banks Handle Ambiguities; I.Huault & H.Rainelli-Weiss / Legitimizing an Ambiguous Financial Innovation: The Case of Exchange Traded Funds in France; L.Deville & M.Oubenal
August 2012 Hardback 256pp 65.00 216x138mm 978-0-230-35579-8

This comprehensive volume tackles all aspects of Mergers and Acquisitions - including regional concentration of M&As at a global level, the impact of the economic crisis, and theoretical concepts and practical applications.
July 2012 Hardback 288pp 65.00 216x140mm 978-1-137-01330-9

This is the best book on the market just now and is the one most likely to engage not only undergraduates, but well educated members of the general public who need to become nancially literate. - James Mallon, Edinburgh Napier University, UK This is the second edition of this successful introductory personal nance text, published in association with the Open University. Its innovative approach of distilling important, but complex, concepts into a useable form and relating them to actual experience make it a must have book for anybody that wants their money to work as hard as they do!
Contents: Contributors / Foreword / Acknowledgements/ Introduction / Setting the Context; A.Shipman / Income; G.Callaghan / Expenditure and Budgeting; M.Higginson / Debt; M.Upton / Savings and Investments; J.Lowe & J.Rutterford / Housing and the Financial Balance Sheet; G.Callaghan & I.Fribbance / Pensions; J.Lowe / Sharing and Caring; S.Himmelweit / Insurance and Life Events; I.Fribbance / Personal Finance: the Changing Context; G.Callaghan & M.Higginson / Glossary /Index
November 2011 472pp Paperback 34.99 246x189mm 978-0-230-34811-0

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An Introduction to Stock Exchange Investment


Janette Rutterford, Abbey National Professor of Financial Management, Open Business School, UK with Marcus Davison, Lecturer in Finance, The Open University, UK

The latest edition of Janette Rutterfords classic textbook has been updated to take account of all practical, technical and legal developments since the last edition was published. Now enhanced by a range of student-friendly features, the focus remains on the London Stock Exchange, but a global perspective is adopted where appropriate.
April 2007 Paperback 528pp 41.99 234x156mm 978-0-333-77802-9

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FINANCIAL MANAGEMENT

The Business of Giving


The Theory and Practice of Philanthropy, Grantmaking and Social Investment
Peter Grant, Senior Fellow in Grantmaking, Philanthropy and Social Investment, Sir John Cass Business School, City University, UK

Hedge Fund Replication


Edited by Greg N. Gregoriou, Professor of Finance, State University of New York, USA and Maher Kooli, Professor of Finance, Universit du Qubec Montral, Canada

The Trustee Guide to Investment


Andrew Clare, Professor of Asset Management, Cass Business School, UK and Chris Wagstaff, Head of Investment Education, Aviva Investors

With erudition, good humour and elegant prose Grant has produced an indispensable handbook on effective philanthropy and social investment. - Sam Daws, Senior Advisor, United Nations Foundation Grant has given us a wonderful gift: a thoughtprovoking, comprehensive and readable guide on philanthropy and social investment which distils some of the best practices of this eld. - Clare Brooks, Director of Philanthropy, Community Foundation Network The Business of Giving reviews current thinking and surveys the key techniques any philanthropist or grantmaker should adopt. It also outlines a generic social investment process that can be utilized for all philanthropic or grantmaking programmes. Essential reading for all engaged in or with an interest in philanthropy or civil society in general.
Contents: PART I: THE THEORY OF SOCIAL INVESTMENT / Philanthropy, Grantmaking and Social Investment / A Short History of Philanthropy / Theories of Change and Logic Modelling / Types and Styles of Social Investment / PART II: SOCIAL INVESTMENT AS A BUSINESS PROCESS / Can Philanthropy Learn from Business Methods? / Three Key Business Processes / PART III: MANAGING SOCIAL INVESTMENT / From Logic Model to Investment Programme / Designing the Programme / Assessment and Selection / Post-Decision Management
December 2011 280pp 20 b/w tables and 26 gures Hardback 26.00 234x156mm 978-0-230-33679-7

While there may be a consensus in the industry that hedge fund clones will bring better liquidity and lower fees, it is still debatable whether replication products should serve as a complement in the hedge fund allocation decision or as a replacement. This book offers the reader valuable insights into the thinking behind hedge fund replication.
Contents: Can We Really Clone Hedge Fund Returns? Further Evidence; M.Kooli & S. Sharma / Hedge Fund Replication: Does Model Combination Help?; J.Teiletche / Factor-Based Hedge Fund Replication with Risk Constraints; R.D.F.Harris & M.Mazibas / Takeover Probabilities and the Opportunities for Hedge Funds and Hedge Fund Replication to Produce Abnormal Gains; A.Ravi, P.Mayall & J.Simpson / Benchmarking of Replicated Hedge Funds; M.D.Wiethuechter & L.Nemeth / Insight Distributional Hedge Fund Replication via State Contingent Stochastic Dominance; C.H.Glafg / Non-Parametric Hedge Funds and Replication Indices Performance Analysis: A Robust Directional Application; L.Germain, N.Nalpas & A.Vanhems / Hedge Fund Cloning through State Space Models; R.Savona / Hedge Fund Return Replication via Learning Models; R.McFall Lamm, Jr / Linear Model for Passive Hedge Fund Replication; G.Barone-Adesi & S.Siragusa / Can Hedge Fund-like Returns be Replicated in a Regulated Environment?; I.Markov & N.Tuchschmid / A Factor-based Application to Hedge Fund Replication; M.Rossi & S.L.Rodrguez
November 2011 224 pp 46 b/w tables and 18 gures Hardback 60.00 216x138mm 978-0-230-33681-0

Quite simply the book every Trustee should read and understand. Written clearly and concisely, it is compulsory reading for my Committee! Mike Urmston, Chair of the Aviva Staff Pension Scheme Investment Committee As simplicity in many aspects of trusteeship and investment gives way to increased complexity, at last we have a refreshingly objective and practical guide to the ever expanding range of markets, investments, tools and techniques to which pension scheme trustees are increasingly exposed and regularly bombarded. - Rob Gardner, cofounder and joint-CEO Redington Limited The Trustee Guide to Investment is a unique and refreshingly practical guide to the expanding range of markets, investments, tools and techniques to which pension scheme trustees must now become familiar.
Contents: The Pension Promise / Why Trustee? Knowledge and Understanding and Investment Governance are Important / The Main Parties Trustees Deal with on Funding and Investment Issues / The Macroeconomic Background to Pensions / The Traditional Asset Classes / Risk and Risk Management / Asset Allocation / Derivatives / Interest Rate and Ination Swaps / Alternative Assets / Portfolio Management / Liability Driven Investment / Environmental, Social and Corporate Governance / Behavioural Finance / Manager Selection / Conclusion
November 2011 616pp 153 gures Hardback 35.00 234x156mm 978-0-230-24424-5

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FINANCIAL MANAGEMENT

Corporate Management in a Knowledge-Based Economy


Edited by Gianfranco Zanda, Professor of Accounting and Corporate Finance, La Sapienza University of Rome, Italy

Manias, Panics and Crashes


A History of Financial Crises 6th edition
Charles P. Kindleberger, formerly Ford Professor of Economics, Massachusetts Institute of Technology, USA and Robert Z. Aliber, Professor of International Economics and Finance, University of Chicago Graduate School of Business, USA

The New International Money Game


7th edition
Robert Z. Aliber, Professor of International Economics and Finance, University of Chicago Graduate School of Business, USA

An analysis of the entrepreneurial management inspired to maximize social responsibility, customer satisfaction, human capital development and economic targets.
Contents: Company Management: Its Historical Evolution; G.Zanda / The Period in which Power is Associated with Land Ownership; D.Coluccia / The First Industrial Revolution (c1760 c1870); D.Coluccia / The Second Industrial Revolution (Late 1800s and Early 1900s); D.Coluccia / The Managerial Revolution, the Origin and Growth of Managerial Capitalism (From the 1930s to the End of the 1970s); G.Zanda / The Appearance and Establishment of Financial Shareholding Managerial Capitalism; G.Zanda / Efcient Market Hypothesis (EMH) and Financial Crisis; G.Oricchio / Control of Intangible Resources and Corporate Management; G.Zanda / Ethical Foundations of Corporate Social Responsibility: The Contribution of Christian Social Thought; H.Alford / Patterns of Management and their Inuence on Business Behavior; S.Solimene / Summary and Closing Remarks; G.Zanda
October 2011 280pp 5 b/w tables and 11 gures Hardback 65.00 216x138mm 978-0-230-29425-7

Deep knowledge and a pragmatic approach to nancial history qualies Robert Aliber to provide this desperately needed sixth edition of Charles Kindlebergers classic study of nancial manias and crashes. Read. Learn. Weep. - Martin Wolf, Financial Times Every so often nancial markets y off the rails of rationality. Manias, Panics and Crashes brilliantly explains these crises and warns us that as each one fades into the past, the lessons are eventually lost, and investors again come to believe that trees grow to the sky. - David Laibson, Harvard University, USA This highly anticipated sixth edition has been revised to include an in-depth analysis of the rst global crisis of the twenty-rst century. Providing a scholarly and entertaining account of such topics as the history of crises, speculative manias and Lehman Brothers, this book has been hailed as a true classic...both timely and timeless.
Contents: Foreword; R.M. Solow / Financial Crisis: A Hardy Perennial / Anatomy of a Typical Crisis / Speculative Manias / Fuelling the Flames: The Expansion of Credit / The Critical Stage / Euphoria and Economic Booms / Bernie Madoff: Frauds and Swindles, and the Credit Cycle / International Contagion 1618-1930 / Bubble Contagion: Tokyo to Bangkok to New York / Policy Responses: Benign Neglect, Exhortation, and Bank Holidays / The Domestic Lender of Last Resort / The International Lender of Last Resort / The Lehman Panic - An Avoidable Crash / The Lessons of History / Epilogue 2010-2020 / Notes / Index
August 2011 Paperback 368pp 20.00 234x156mm 978-0-230-36535-3

The International Money Game has been fully rewritten to take account of changes in the world economy. It provides a comprehensive overview of international nancial developments, including both the structure of payments arrangements and the series of credit and asset bubbles as well as nancial crises.
April 2011 Hardback Paperback 376pp 74.00 26.99 234x156mm 978-0-230-01894-5 978-0-230-01897-6

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Shipping Derivatives and Risk Management


Amir Alizadeh, Director MSc Energy, Trade and Finance and Nikos Nomikos, both at Cass business School, City University, UK

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A comprehensive book on shipping derivatives and risk management coverign both the theory and practice of nancial risk in shipping. The authors show how to analyze and measure the impact of nancial risks in shipping investment and operations and how to effectively minimize these risks.
April 2009 Hardback 528pp 79.00 216x138mm 978-0-230-21591-7

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FINANCIAL MANAGEMENT INTERNATIONAL FINANCE

Best Practices in Management Accounting


Edited by Greg N. Gregoriou, Professor of Finance, State University of New York, USA and Nigel Finch, Senior Lecturer in Accounting, University of Sydney, Australia

INTERNATIONAL FINANCE

Survival Investing
How to Prosper Amid Thieving Banks and Corrupt Governments
John R. Talbott, former Investment Banker, Economics Guru, and Bestselling Author. Talbott has established himself as a predictor of major economic events over the last two decades, including the dot. com technology stock collapse, the overheated national housing market, and the global mortgage crisis. Talbott has had articles published in The Wall Street Journal, the Financial Times, The Boston Globe, the San Francisco Chronicle, the International Herald Tribune, The New Republic, the Los Angeles Times, and Salon.com and is a regular contributor to The Hufngton Post. He has appeared as a nancial expert on television for CNN, CBS, Fox News, CNBC, Fox Business News, CSPAN, and MSNBC as well as on hundreds of radio programs. Talbott was previously a visiting scholar at UCLAs Anderson School of Management as well as a top Goldman Sachs investor.

Submerging Markets
The Impact of Increased Financial Regulations on the Future Growth Rates of BRICS Countries
Rich Marino, Principal Consultant, RL Marino Company (corporate consulting rm)

Management accounting has undergone signicant evolution moving away from rigid budgeting programs and static output measures to comprehensive approaches of value identication and measurement. Provides case studies, commentary and analysis from international experts in management accounting across key contemporary areas.
December 2011 288pp 17 b/w tables and 18 gures Hardback 65.00 216x138mm 978-0-230-35836-2

Submerging Markets is a valuable tool for the academic community, government agencies, global business organizations and anyone interested in the impact of the new nancial regulations and reforms implemented after the 2008 crisis, relative to the possible and probable future economic growth rates of the emerging markets (BRICS).
Contents: THE NEED FOR INCREASED REGULATION / Introduction / Overview of Regulations, Historical & Current / CAPITAL FLOWS AND GROWTH RATES REVISITED / Capital Flows from the 1990s-Current Day / GDP Growth Rates for Advanced Economies and Selected Emerging Markets Including the BRICS / THE BRICS: A CAPITAL FLOW ANALYSIS / Analysis of Brazil's Economy Relative to Its Capital Flows / Analysis of Russia's Economy Relative to Its Capital Flows / Analysis of India's Economy Relative to Its Capital Flows / Analysis of China's Economy Relative to Its Capital Flows / Analysis of South Africa's Economy Relative to Its Capital Flows / REGULATORY IMPACT / Conclusion
December 2012 Hardback 240pp 65.00 216x138mm 978-0-230-36273-4

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Review of Management Accounting Research


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In Survival Investing nance guru John R. Talbott takes a startling look at how unsustainable debt levels around the world are endangering many standard investments, and what people need to know to protect their money from compromized banks and corrupt governments.
July 2012 Hardback 256pp 16.99 234x156mm 978-0-230-34122-7

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A comprehensive review of contemporary research in management accounting. Provides a thorough critical analysis of recent issues published in the management accounting literature and identies gaps for future research in each issue reviewed.
October 2011 608pp 19 b/w tables and 26 gures Hardback 125.00 216x138mm 978-0-230-25237-0

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23

INTERNATIONAL FINANCE

Euro Crash
The Exit Route from Monetary Failure in Europe 2nd edition
Brendan Brown, Executive Director and Head of Economic Research, Mitsuibishi (UFJ) Securities International plc, UK

Private Equity in Poland


Winning Leadership in Emerging Markets
Darek Klonowski, Professor of Business Administration, Brandon University, Canada, and has worked in the private equity industry for over fteen years, making investments throughout Central and Eastern Europe

Palgrave Handbook of International Trade


Edited by Daniel Bernhofen, Professor of International Economics, Rod Falvey, Professor of Economics, David Greenaway, Professor and Pro Vice Chancellor, Leverhulme Centre for Research on Globalisation and Economic Policy, School of Economics, Sir Clive Granger Building, all at University of Nottingham, Nottingham, UK and Udo Kreickemeier, University of Tubingen, Germany

'The majority of economic analysts, especially those in nancial markets, follow governments, central banks and international institutions in trusting to largescale macroeconomic forecasts...Brendan Brown...belongs to the select band of commentators who prefer to derive their analysis from the market prices of key variables. For this reason alone he deserves our attention. The Financial Times Euro Crash diagnoses the three fatal design aws in EMU as constructed by the Maastricht Treaty and analyzes future likely monetary scenarios for Europe, demonstrating how the best of these would be the creation of a new narrow monetary union between France and Germany founded on strict monetarist principle and without a European Central Bank.
Contents: Introduction / Euro Indictment / Origins of the Euro-Bubble / The Bursting of the Bubble / The Trial / EMU is Dead: Long Live EMU!
February 2012 Hardback Paperback 224pp 60.00 18.99 216x138mm 978-0-230-31923-3 978-0-230-36849-1

Poland represents the most developed private equity industry in Central and Eastern Europe and is one of the most developed emerging markets worldwide. Klonowski captures the essence of twenty years of development, looking at its evolution, exit opportunities, nancial performance and future trends.
Contents: Preface / Foreword / An Overview of Private Equity / Economic Development in Poland / Systemic Competitiveness in Poland / Nurturing Entrepreneurship in Poland / The Exit Environment for Private Equity Firms in Poland / The Evolution of Private Equity in Poland / Fundraising in Poland and the CEE Region / Fund Operations in Poland / Comparative Perspectives on Private Equity in Emerging Markets / The Future Development of Private Equity in Poland
December 2011 30pp gures Hardback 226pp 65.00 234x156mm 978-0-230-11075-5

International trade is the core foundation of globalization. This current and up-to-date volume brings together the nest academics working in the eld today, containing contributions in key areas of policy research, such as, modelling frameworks, trade policy, trade and migration, trade and the environment, trade and unemployment.
Contents: PART I: FOUNDATIONS AND MODELLING FRAMEWORKS / Editorial Overview / International Trade in the Long Run; R.Rufn / General Equilibrium Trade Theory; A.Woodland / The Empirics of General Equilibrium Trade Theory; D.Bernhofen / General Equilibrium Trade Theory and Firm Behaviour; G.Ottaviano & K.Behrens / Firms Internationalization Strategies: The Evidence; D.Greenaway, R.Kneller & D.McGowan / Oligopoly and Trade; D.Leahy & P.Neary / Multinational Firms; J.Markusen / PART II: POLICY / Theory of Trade Policy and Reform; R.Falvey & U.Kreickemeier / Political Economy of Protection; B.Ethier / Measurement of Protection; J.Anderson / On the Theory and Empirics of Preferential Trade Agreements; P.Krishna / Trade Agreements; C.Kowalczyk & R.Riezman / PART III: SPECIAL TOPICS / Trade and Labour Markets; C.Davidson & S.Matusz / Trade and the Environment; B.Copeland / Economic Geography: A Review of the Theoretical and Empirical Literature; S.Redding / Gravity Equations and Economic Frictions in the World Economy; J.Bergstrand & P.Egger / Computational General Equilibrium Modeling of International Trade; J.Francois & W.Martin / Trade and Economic Growth; P.Segerstrom / Trade, Trade Policyand Development; C.Milner / International Migration; N.Gaston & D.Nelson
October 2011 736pp 61 gures and 15 tables Hardback 150.00 234x156mm 978-0-230-21727-0

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INTERNATIONAL FINANCE PUBLIC FINANCE

An Introduction to Global Financial Markets


6th edition
Stephen Valdez, formerly Financial Consultant and Director of Prole Financial Training Plc.and Philip Molyneux, Professor of Banking and Finance, Bangor Business School, Bangor University, UK

PUBLIC FINANCE

Alaskas Permanent Fund Dividend


Examining its Suitability as a Model
Edited by Karl Widerquist, Visiting Associate Professor, Georgetown University, Qatar and Michael W. Howard, Professor of Philosophy, University of Maine, USA

Alternative Perspectives of a Good Society


Edited by John Marangos, Associate Professor of Economics, University of Crete and Afliated with Colorado State University (where he was Associate Professor of Political Economics from 20032009), USA

Describes the various nancial sectors in clear, easy to understand terms. It provides a broad and balanced introduction to nancial markets across the world and comprehensive coverage of commercial and investment banking, foreign exchange, money and bond markets, stock markets and derivatives products.
April 2010 Paperback 528pp 29.99 234x156mm 978-0-230-24309-5

Contributors discuss the Alaska Permanent Fund (APF) and Permanent Fund Dividend (PFD) as a model both for resource policy and for social policy. This book explores whether other states would benet from an Alaskan-style dividend. It also looks at possible ways that the model might be improved.
February 2012 Hardback 288pp 62.50 216x138mm 978-0-230-11207-0

As a collection of alternative views on societies, methodologies, policies and assessment of the current elements of the society, Alternative Perspectives on a Good Society brings together different authors answering different questions all within the context of visions of a good society.
December 2011 Hardback 218pp 62.50 216x138mm 978-0-230-11445-6

Perspectives from Social Economics Series Editor: Mark D. White

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Exploring the Basic Income Guarantee Series Editors: Karl Widerquist and James Bryan

Public Finance and Public Policy


3rd edition
Jonathan Gruber, Massachusetts Institute of Technology, USA

International Finance
3rd edition
Keith Pilbeam, Professor of International Economics and Finance, City University London, UK

Basic Income Reconsidered


Social Justice, Liberalism, and the Demands of Equality
Simon Birnbaum, Researcher, Department of Political Science, Stockholm University, Sweden

International Finance is a well-established and internationally renowned introduction to the subject for both undergraduate and postgraduate students. It provides comprehensive coverage of both traditional and modern theories relating to the balance of payments, exchange rate determination and the international monetary system. There is extensive use of data and empirical evidence to illustrate the relevance of theories and concepts discussed.
November 2005 528pp Paperback 43.99 246x189mm 978-1-4039-4837-3

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Basic income is one the most innovative, powerful and controversial proposals for addressing poverty and growing inequalities. This book examines the arguments for and against basic income from the point of view of economic and social justice.
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Grubers Public Finance and Public Policy was the rst text written to reect current realities of public nance, with an emphasis on empirical work and coverage of transfer programs and social insurance. This latest edition contains fully updated research and new coverage of tax, health and the ongoing debate of privatization.
October 2010 Hardback 700pp 73.99 257x206mm 978-1-4292-1949-5

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PUBLIC FINANCE

Financing Long-Term Care in Europe


Institutions, Markets and Models
Edited by Joan Costa-Font, London School of Economics and Political Science, UK and Christophe Courbage, Research Director, The Geneva Association

Microeconomics, Macroeconomics and Economic Policy


Essays in Honour of Malcolm Sawyer
Edited by Philip Arestis, Director, Department of Land Economy, University of Cambridge, UK

Corporate Governance
Theory and Practice
Carol Padgett, ICMA Centre, University of Reading, UK

Offers a full understanding of the institutional responses and mechanisms in place to nance old age

November 2011 360pp 216x138mm 38 b/w tables and 38 gures Hardback 65.00 978-0-230-24946-2

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Microeconomics, Macroeconomics and Economic Policy are at the core of economic research. The essays in this volume have been specically commissioned and brought together to celebrate the work of Malcolm Sawyer, who has made substantial contributions in these areas.
July 2011 320pp 8 b/w tables and 15 gures Hardback 65.00 216x138mm 978-0-230-29019-8

'Carol Padgett has written an excellent book on corporate governance. It is comprehensive and thorough in its coverage of an important and expanding topic. The book combines an extensive review of the relevant literature with an insightful description of corporate governance policy and practice. It is well illustrated with case studies and examples, and it guides the reader carefully through the different aspects of current corporate governance debates.' - Colin Mayer, Peter Moores Professor of Management Studies, SaId Business School, University of Oxford, UK Recent nancial crises and instances of corporate malpractice have prompted many questions about how companies are run - and whether this tallies with how they should be run. This book systematically explores the factors that shape corporate governance, and discusses both those governance practices implemented by companies and those imposed by regulators. It also tries to determine how good corporate governance can help companies to create value for their shareholders. Corporate Governance is rmly grounded in academic literature and packed with empirical evidence from around the world, making it an ideal book for students of business, management, nance, accounting and law taking a one-term course in the subject.
Contents: The Scope and Nature of Corporate Governance / Ownership / The Board of Directors / Stakeholders / Remuneration / The Market for Corporate Control / Regulation /Communication and Disclosure / Corporate Governance in Emerging Markets / Conclusion
November 2011 Paperback 240 pp 31.99 249x189mm 978-0-230-22999-0

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The New Regulatory State


Regulating Pensions in Germany and the UK
Edited by Lutz Leisering, Professor of Social Policy, Bielefeld University, Germany

New Economics as Mainstream Economics


Edited by Philip Arestis, Director of Research, Cambridge Centre for Economic and Public Policy, University of Cambridge, UK; Professor of Economics, University of the Basque Country, Spain and Malcolm Sawyer, Professor of Economics, University of Leeds, UK

Explores the role of governments in creating and regulating private pensions in the UK and Germany since the 1980s.
October 2011 Hardback 336pp 60.00 216x138mm 978-0-230-27205-7

Transformations of the State Series Editor: Stephan Leibfried, Achim Hurrelmann ebook available from: Dawson ERA, Ebook Library, ebooks.com, Ebrary, Myilibrary, NetLibrary, Palgrave Connect Business & Management Collections

This volume deals with both a new theoretical framework and the capability of new economics to tackle a number of economic problems.It offers detailed analysis and informed comment on the type of new economics emerging in the aftermath of the nancial crisis and the great recession.
May 2011 256pp 4 tables and 13 graphs Hardback 65.00 216x138mm 978-0-230-29877-4

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International Papers in Political Economy Series Editors: Philip Arestis and Malcolm Sawyer

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PUBLIC FINANCE ACCOUNTING

US Withholding Tax
Practical Implications of QI and FATCA
Ross McGill, Managing Director, T Consult and Globetax, UK

ACCOUNTING

The US is the world's largest capital market, its withholding tax system being the most complex. QI regulations affecting both qualied and non-qualied intermediaries, as well as FATCA regulations imposing stringent disclosure and reporting requirements on US investors give the reader practical insights into how to meet these compliance burdens.
Contents: Preface / Foreword / Acknowledgements / List of Tables and Charts / List of Abbreviations and Acroynyms / Introduction / PART I: THE QI REGULATIONS / Principles of Code Chapter 3 / Contracts the QI Agreement / Issues for Non-Qualied Intermediaries / Documentation / Presumption Rules / Withholding / Deposit of taxes / Information Reporting under Chapter 3 / AUP / Penalties / Refunds / PART II: FATCA / Principles of Title V of the HIRE Act / The FFI Agreement / Terms and Denitions / Documentation Procedures / Waivers of Privacy Laws and Treaty Entitlements / Substantial Presence and Effective Control / Recalcitrant Accounts / Withholding and Pass Thru Payments / Information Reporting under Chapter 4 / Transition Rules / Control, Oversight and Penalties / PART III: RELATED GLOBAL TAX INITIATIVES / OECD / European Union / Conclusion / Notes / Appendices / Bibliography / Index
December 2012 Hardback 256pp 135.00 234x156mm 978-0-230-36461-5

HIGHLIGHT
St. Jamess Place Tax Guide 2012 2013
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27

ACCOUNTING REFERENCE

Business Accounting
An Introduction to Financial and Management Accounting 2nd edition
Jill Collis, Director, Accounting and Auditing Research Centre, Brunel University, UK, Andrew Holt, Principal Lecturer in Accounting, Kingston University, UK and Roger Hussey, Dean, Guangzhou International Business School, China

REFERENCE

Mastering Communication
5th edition
Nicky Stanton, Management Consultant and Trainer in Management Development and Communication, UK

Study Skills Researching Business and Management


A Roadmap For Success
Harvey Maylor, Lecturer in Operations and Project Management, School of Management, University of Bath, UK and Kate Blackmon, Lecturer in Operations Management, Sad Business School, UK

'Business Accounting is an absolute must for any student studying introductory nancial or management accounting either on a specialist accounting or other degree. It manages to simplify difcult concepts and communicate them in an interesting and logical sequence. - Mark Farmer, Kingston University, UK Business Accounting covers nancial and management accounting in an accessible, nontechnical style that is particularlysuitable for undergraduate students of business & nance and MBAs. The active-learning approach seeks to convey the ability to understand and evaluate nancial information for a range of business services.
Contents: PART I: THE WORLD OF ACCOUNTING AND FINANCE / Introduction to Business Accounting / The Importance of Cash / PART II: FINANCIAL ACCOUNTING / The Accounting System / Regulatory Framework for Financial Reporting / Conceptual framework for Financial Reporting / Statement of Comprehensive Income / Statement of Financial Position / Consolidated Financial Statements / Analysing Financial Statements / Ethics, Governance and Corporate Social Reporting / PART III: MANAGEMENT ACCOUNTING / The Importance of Cost Information / Costing for Product Direct Costs / Costing for Indirect Costs / Costing for Specic Orders and Continuous Operations / Activity-based Costing / Marginal Costing / Budgetary Control / Standard Costing / Capital Investment Control / Discounting Methods of Investment Appraisal / Issues in Management Accounting / Appendix: Present Value Table / Acronyms / Glossary of Terms / Index
June 2012 Paperback 472pp 32.99 246x189mm 978-0-230-27623-9

This book will help students improve their speaking, listening, reading and writing skills. It will give an understanding of the importance of good communication skills for their personal development and career.
July 2009 Paperback 496 pp 18.99 234x156mm 978-0-230-21692-1

Palgrave Master Series

The New Palgrave Dictionary of Economics


Edited by Steven N. Durlauf, University of Wisconsin, USA and Lawrence E. Blume, Cornell University, USA

This is an introductory text on the process of research in business and management. It will enable undergraduate, taught postgraduates and MBA students to develop the skills to carry out rigorous research, using a structured approach to the research process from dening the research question, through the selection of methods, to producing a nal report. The authors style is friendly and supportive, occasionally humorous, and they acknowledge the chaos, uncertainty and sometimes complexity inherent in research projects. Research methodologies are explained with great clarity, relating theory to practice throughout. There is a comprehensive website to accompany this text including both lecturer and student resources.
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NEW PROFESSIONAL FINANCE SERIES FROM PALGRAVE MACMILLAN

Palgrave Macmillan are delighted to announce the launch of Applied Quantitative Finance, a new series of publications aimed at practitioners, researchers and students of nance, who need to understand modern quantitative nance as it is applied in practice. Discounting, Libor, CVA and Funding Interest Rate and Credit Pricing Chris Kenyon and Roland Stamm Coverage will include: Discounting future cash ows How to build the appropriate interest curves Analysis of the different credit and basis spreads available The nature of CSA, CVA and OIS The relevance and impact of Basel III
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Series Editor: Wim Schoutens, Department of Mathematics, Catholic University of Leuven. Editorial Advisory Board: Peter Carr, Executive Director, NYU Mathematical Finance; Global Head of Market Modeling, Morgan Stanley. Ernst Eberlein, Department of Mathematical Stochastics, University of Freiburg. Matthias Scherer, Chair of Mathematical Finance, Technische Universitt Mnchen.

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INDEX A
Abdel-Kader Review of Management Accounting Research Alaskas Permanent Fund Dividend Widerquist Howard Aliber The New International Money Game Alizadeh Nomikos Shipping Derivatives and Risk Management Allen Hemming Potter The International Handbook of Public Financial Management Alternative Perspectives of a Good Society Marangos An Introduction to Global Financial Markets Valdez Molyneux An Introduction to Stock Exchange Investment Rutterford Davison Annunziata The Economics of the Financial Crisis Apati The Nigerian Banking Sector Reforms Applied Econometrics Asteriou Hal Arestis Microeconomics, Macroeconomics and Economic Policy Arestis Sawyer New Economics as Mainstream Economics Asteriou Hall Applied Econometrics 23 25 22 22 19 25 25 20 18 7 11 26 26 11 Birnbaum Basic Income Reconsidered Bishop The Future of Private Equity Bitzenis Vlachos Papadimitrios Mergers and Acquisitions as the Pillar of Foreign Direct Investment Blomberg Kjellberg Winroth Marketing Shares, Sharing Markets Brown Euro Crash Brown The Global Curse of the Federal Reserve Business Accounting Collis Holt Hussey The Business of Giving Grant 25 19

D
Discounting, Libor, CVA and Funding Kenyon Stamm Durlauf Blume The New Palgrave Dictionary of Economics 12 28

20 14 24 10 28 21

E
Economic Forecasting and Policy Carnot Koen Tissot The Economics of the Financial Crisis Annunziata The Efcient Market Hypothesists Read Emerging Asia Rajan Essential Quantitative Methods Oakshott Ethics in Investment Banking Reynolds Newell Euro Crash Brown European Banking Olgu 11 18 14 5 10 3 24 8

C
Callaghan Fribbance Higginson Personal Finance Carnot Koen Tissot Economic Forecasting and Policy Casey Legacy of the Crash Central Banks and Coded Language Muchlinski Challenging Global Finance Friesen Chorafas Basel III the Devil and Global Banking Chorafas Sovereign Debt Crisis Clare Wagstaff The Trustee Guide to Investment Collis Holt Hussey Business Accounting Corporate Governance Padgett Corporate Income Tax Harmonization in the European Union Prvu Corporate Management in a Knowledge-Based Economy Zanda Costa-Font Courbage Financing Long-Term Care in Europe Cousin Banking in China Credit Guarantee Institutions and SME Finance Leone Vento Credit Scoring, Response Modeling, and Insurance Rating Finlay Crisis, Risk and Stability in Financial Markets Fernndez de Guevara Radoselovics Pastor Monslvez Crisis: Cause Containment and Cure Huertas 20 11 17 10 14 7 4 21 28 26 6 22 26 8 5 12

F
Fernndez de Guevara Radoselovics Pastor Monslvez Crisis, Risk and Stability in Financial Markets Fernndez de Guevara Radoselovics Pastor Monslvez Modern Bank Behaviour Fiance and Financial Markets Pilbeam Finance, Investment Banking and the International Bank Credit and Capital Markets Scott-Quinn Finance: The Discreet Regulator Huault Richard Financial Structures and Regulation Roselli Financialization and Government Borrowing Capacity in Emerging Markets Hardie Financing Long-Term Care in Europe Costa-Font Courbage Finlay Credit Scoring, Response Modeling, and Insurance Rating Fiordelisi Ricci Bancassurance in Europe Friesen Challenging Global Finance The Future of Insurance Regulation and Supervision Liedtke Monkiewicz The Future of Private Equity Bishop 4 4 18

B
Ball Money, Banking, and Financial Markets Bancassurance in Europe Fiordelisi Ricci Bank Performance, Risk and Firm Financing Molyneux Bank Regulatory Reforms in Africa Murinde Bank Strategy, Governance and Ratings Molyneux Banking in China Cousin Banks Risk Culture Basel III the Devil and Global Banking Chorafas Basic Income Reconsidered Birnbaum Bernhofen Falvey Greenaway Palgrave Handbook of International Trade Best Practices in Management Accounting Gregoriou Finch 12 7 8 6 8 8 19 7 25 24 23

13 20 5 13 26 12 7 14 17 19

Basel III, Credit Rating Systems Izzi Oricchio Vitale 18

4 17

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31

INDEX G
Gallagher Marsh How Ireland Voted 2011 Genesis of the Financial Crisis Macdonald The Global Curse of the Federal Reserve Brown The Gold Standard Peripheries gren ksendal Grant The Business of Giving Greek Banking Pasiouras Gregoriou Finch Best Practices in Management Accounting Gregoriou Kooli Hedge Fund Replication Gruber Public Finance and Public Policy 17 9 10 8 21 6 23 21 25 Kindleberger Aliber Manias, Panics and Crashes Klonowski Private Equity in Poland Kruck Private Ratings, Public Regulations 22 24 16 Molyneux Bank Strategy, Governance and Ratings Money, Banking, and Financial Markets Ball The Money Trap Pringle Moore McCabe Craig The Practice of Statistics for Business and Economics Muchlinski Central Banks and Coded Language Langton Trullols Turkistani Islamic Economics and Finance Legacy of the Crash Casey Leisering The New Regulatory State Leone Vento Credit Guarantee Institutions and SME Finance Liberalizing Financial Services and Foreign Direct Investment Pez Liedtke Monkiewicz The Future of Insurance Regulation and Supervision The Life Cyclists Read 13 21 16 17 20 17 13 17 26 5 3 17 15 Murinde Bank Regulatory Reforms in Africa 8 12 9 11 10 6

N
Neoliberalism in Crisis Overbeek van Apeldoorn New Economics as Mainstream Economics Arestis Sawyer The New International Money Game Aliber The New Palgrave Dictionary of Economics Durlauf Blume The New Regulatory State Leisering The Nigerian Banking Sector Reforms Apati 14 26 22 28 26 7

H
Hardie Financialization and Government Borrowing Capacity in Emerging Markets Hedge Fund Replication Gregoriou Kooli Horn Regulating Corporate Governance in the EU How Ireland Voted 2011 Gallagher Marsh Huault Richard Finance: The Discreet Regulator Huertas Crisis: Cause Containment and Cure

M
Macdonald Genesis of the Financial Crisis Malo de Molina Martn-Acea The Spanish Financial System Manias, Panics and Crashes Kindleberger Aliber Marangos Alternative Perspectives of a Good Society 9 16 22 25 23 14 3 28 28 27

O
Oakshott Essential Quantitative Methods Oakshott Quantitative Methods gren ksendal The Gold Standard Peripheries Olgu European Banking Oricchio Private Company Valuation Overbeek van Apeldoorn Neoliberalism in Crisis 10 11 8 8 13 14

I
International Finance Pilbeam The International Handbook of Public Financial Management Allen Hemming Potter International Loan Documentation Wright Islamic Banking and Finance Masood Islamic Economics and Finance Langton Trullols Turkistani 25 19 18 3 13

Marino Submerging Markets Marketing Shares, Sharing Markets Blomberg Kjellberg Winroth Masood Islamic Banking and Finance Mastering Communication Stanton Maylor Blackmon Researching Business and Management McGill US Withholding Tax

P
Padgett Corporate Governance Pez Liberalizing Financial Services and Foreign Direct Investment Palgrave Handbook of International Trade Bernhofen Falvey Greenaway Pasiouras Greek Banking Personal Finance Callaghan Fribbance Higginson Pilbeam Finance and Financial Markets Pilbeam International Finance Prvu Corporate Income Tax Harmonization in the European Union The Portfolio Theorists Read 26 3 24 6 20 18 25 6 15

Izzi Oricchio Vitale Basel III, Credit Rating Systems 18

J
Japans Financial Slump Suzuki Jowett Jowett Private Equity 5 13

Mergers and Acquisitions as the Pillar of Foreign Direct Investment Bitzenis Vlachos Papadimitrios 20 Microeconomics, Macroeconomics and Economic Policy Arestis Minding the Markets Tuckett Modern Bank Behaviour Fernndez de Guevara Radoselovics Pastor Monslvez Molyneux Bank Performance, Risk and Firm Financing 26 16 4 8

K
Kenyon Stamm Discounting, Libor, CVA and Funding 12

32

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INDEX
The Practice of Statistics for Business and Economics Moore McCabe Craig Pringle The Money Trap Private Company Valuation Oricchio Private Equity in Poland Klonowski Private Equity Jowett Jowett Private Ratings, Public Regulations Kruck Public Finance and Public Policy Gruber 11 9 13 24 13 16 25 Talbott Survival Investing The Trustee Guide to Investment Clare Wagstaff 11 Tuckett Minding the Markets St Jamess Place Tax Guide 2012-2013 Sinclair Lipkin Stanton Mastering Communication Submerging Markets Marino Survival Investing Talbott Suzuki Japans Financial Slump 27 28 23 23 5

T
23 21 16

Q
Quantitative Methods Oakshott

R
Rajan Emerging Asia Read The Efcient Market Hypothesists Read The Life Cyclists Read The Portfolio Theorists Read The Rise of the Quants Regulating Corporate Governance in the EU Horn Researching Business and Management Maylor Blackmon Review of Management Accounting Research Abdel-Kader Reynolds Newell Ethics in Investment Banking The Rise of the Quants Read Risk Culture Banks Roselli Financial Structures and Regulation Rutterford Davison An Introduction to Stock Exchange Investment 5 14 15 15 15 16 28 23 3 15 19 5 20 US Withholding Tax McGill

U
27

V
Valdez Molyneux An Introduction to Global Financial Markets 25

W
Widerquist Howard Alaskas Permanent Fund Dividend Wright International Loan Documentation 25 18

Z
Zanda Corporate Management in a Knowledge-Based Economy 22

S
Scott-Quinn Finance, Investment Banking and the International Bank Credit and Capital Markets 13 Shipping Derivatives and Risk Management Alizadeh Nomikos Sinclair Lipkin St Jamess Place Tax Guide 2012-2013 Sovereign Debt Crisis Chorafas The Spanish Financial System Malo de Molina Martn-Acea 22 27 4 16

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