eBook Handbook of Research on Financial and Banking Crisis Prediction through Early Warning Systems, 1st Edition

  • Qaiser Munir
  • Published By: Business Science Reference
  • ISBN-10: 1466694858
  • ISBN-13: 9781466694859
  • DDC: 338.5
  • Grade Level Range: College Freshman - College Senior
  • 515 Pages | eBook
  • Original Copyright 2015 | Published/Released June 2016
  • This publication's content originally published in print form: 2015
  • Price:  Sign in for price

About

Overview

This title addresses the inequity of developed and developing nations from the bottom up through an exploration of current literature, specific case-studies, and data-based recommendations for new crisis indicators. It includes discussions on the Greek debt crisis, electronic banking, and financial crises in developing economies. It is an excellent resource for academics, financial analysts, researchers, post-graduate students, and policymakers working in the fields of international finance and liability management.

Table of Contents

Front Cover.
Title Page.
Copyright Page.
Other Frontmatter.
Editorial Advisory Board.
List of Contributors.
Table of Contents.
Detailed Table of Contents.
Preface.
Acknowledgment.
Introduction to Early Warning Systems for Banking and Financial Crises.
1: Early Warning System for Banking Crisis: Causes and Impacts.
2: Early Warning System for Financial Crises.
3: Predicting Global Financial Meltdown and Systemic Banking Failure: An Assessment of Early Warning Systems (EWSs) and Their Current Relevance.
4: On the Evaluation of Early Warning Models for Financial Crises.
5: Early Warning Tools for Financial System Distress: Current Drawbacks and Future Challenges.
Indicators and Prediction Models for Banking and Currency Crises.
6: Using Self Organizing Maps for Banking Oversight: The Case of Spanish Savings Banks.
7: Accounting Standards in the U.S. Banking Industry during the Financial Crisis.
8: Churn Management of E-Banking Customers by Fuzzy AHP.
9: Building a Surveillance Framework for Currency Crises in Indonesia: Macroprudential Approach.
10: Currency Crisis in Developing Countries.
11: KLR Approach as an Early Warning Indicator of Turkish Currency and Banking Crisis in 2000 and 2001.
12: Dating Banking and Currency Crises in Turkey, 1990-2014.
13: Measuring the Impact of Financial Crisis: A Financial Stress Index for Turkey.
Indicators and Prediction Models for Economic and Financial Crises.
14: The Resilience of Emerging Economies During the Great Recession: Lessons Learnt from Recent Data.
15: The Twin Deficit as an Early Warning Sign in Avoiding Crises: The Case of Greece.
16: Developing EWS Models for Contemporary Crises Using Extreme Value Binary Models: The Cases of Eurozone and Argentinian Peso (2014).
17: Understanding Chaos as an Indicator of Economic Stability.
18: Asset Pricing Bubbles.
19: Towards Predicting Financial Failure in Non-Profit Organisations.
20: Assessing the Financial Vulnerability of Emerging Markets.
21: Financial Contagion in a Glance: Using Business Network Contagion Patterns.
Compilation of References.
About the Contributors.
Index.
Front Cover.
Title Page.
Copyright Page.
Other Frontmatter.
Editorial Advisory Board.
List of Contributors.
Table of Contents.
Detailed Table of Contents.
Preface.
Acknowledgment.
Introduction to Early Warning Systems for Banking and Financial Crises.
1: Early Warning System for Banking Crisis: Causes and Impacts.
2: Early Warning System for Financial Crises.
3: Predicting Global Financial Meltdown and Systemic Banking Failure: An Assessment of Early Warning Systems (EWSs) and Their Current Relevance.
4: On the Evaluation of Early Warning Models for Financial Crises.
5: Early Warning Tools for Financial System Distress: Current Drawbacks and Future Challenges.
Indicators and Prediction Models for Banking and Currency Crises.
6: Using Self Organizing Maps for Banking Oversight: The Case of Spanish Savings Banks.
7: Accounting Standards in the U.S. Banking Industry during the Financial Crisis.
8: Churn Management of E-Banking Customers by Fuzzy AHP.
9: Building a Surveillance Framework for Currency Crises in Indonesia: Macroprudential Approach.
10: Currency Crisis in Developing Countries.
11: KLR Approach as an Early Warning Indicator of Turkish Currency and Banking Crisis in 2000 and 2001.
12: Dating Banking and Currency Crises in Turkey, 1990-2014.
13: Measuring the Impact of Financial Crisis: A Financial Stress Index for Turkey.
Indicators and Prediction Models for Economic and Financial Crises.
14: The Resilience of Emerging Economies During the Great Recession: Lessons Learnt from Recent Data.
15: The Twin Deficit as an Early Warning Sign in Avoiding Crises: The Case of Greece.
16: Developing EWS Models for Contemporary Crises Using Extreme Value Binary Models: The Cases of Eurozone and Argentinian Peso (2014).
17: Understanding Chaos as an Indicator of Economic Stability.
18: Asset Pricing Bubbles.
19: Towards Predicting Financial Failure in Non-Profit Organisations.
20: Assessing the Financial Vulnerability of Emerging Markets.
21: Financial Contagion in a Glance: Using Business Network Contagion Patterns.
Compilation of References.
About the Contributors.
Index.