In this special issue of Research in Finance, editors Rita Biswas and Michael Michaelides compile eleven papers, five of which were selected from the II International Conference on Economics and Finance (ICEF-II) in Bengaluru, India. This volume focuses on a gamut of topics ranging from monetary policy to corporate governance in emerging economies. More specifically, it presents papers on the role of board characteristics and sub-committees on firm performance, the impact of US quantitative easing on countries like India and China, public-private partnerships in infrastructure projects in India, and multinational banking evolution in Nigeria and India. In order to advance the field of international economics and finance, it is necessary to question conventional practice and research approach. Incorporating analysis of classical theories of international finance and economics, the papers in this volume present new innovative theories that seek to do just that. They are essential reading for researchers interested in development economics and emerging finance.
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Rita Biswas is an Associate Professor of Finance and Associate Dean of International Initiatives in the School of Business, University at Albany, USA. Prof. Biswas's primary research interests involve international financial markets and banking. Her work has been published in journals such as Financial Management, the Financial Review, Journal of Financial Services Research, Review of Futures Markets, and Global Finance Journal. Biswas has won several teaching awards, including the President's Award for Excellence in Teaching and the SUNY Chancellor's Award for Excellence in Teaching (SUNY system-wide, 2013-14). She is a frequent teacher in executive MBA programs worldwide, including at the Frankfurt School of Finance and Management, Germany and at Universidad del Salvador, Buenos Aires, Argentina. Professor Biswas received her M.S. in international economics from University of Rochester, NY in 1985 and her Ph.D. in international finance and banking from Texas A&M University, TX in 1990.
Michael Michaelides is an Assistant Professor of Economics at Allegheny College, USA. His research focuses on topics of financial econometrics.
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