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Greening the Financial Sector: How to Mainstream Environmental Finance in Developing Countries

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ISBN: 9783642050862 9783642050879 Year: Pages: 249 DOI: 10.1007/978-3-642-05087-9 Language: English
Publisher: Springer
Subject: Manufactures --- Business and Management --- Economics
Added to DOAB on : 2012-08-16 16:43:16
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Environmental finance, particularly energy efficiency and renewable energy (EERE) finance, can and should serve as an interface to other sub-sectors of financial sector promotion such as microfinance, housing finance or agricultural finance. For example, existing clients of financial institutions include small and medium-sized enterprises and households, and these are often suffering from high energy prices or have no access to sustainable energy supply. At the same time, these clients are vulnerable to extreme weather events, and often hit hardest by the impact of climate change. There are many other examples which show that the financial sector has an enormous potential to support “green” investments. In order to tap this potential on a sustainable basis, it is important to have a sound understanding which role financial institutions can and should play.This book provides a blend of well-founded professional and scientific perspectives on the potential of Environmental finance in developing and transition countries.

Managing Elevated Risk: Global Liquidity, Capital Flows, and Macroprudential Policy - An Asian Perspective

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ISBN: 9789812872838 9789812872845 Year: Pages: 124 DOI: 10.1007/978-981-287-284-5 Language: English
Publisher: Springer
Subject: Business and Management
Added to DOAB on : 2015-06-02 18:00:07
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This book discusses the risks and opportunities that arise in Emerging Asia given the context of a new environment in global liquidity and capital flows. It elaborates on the need to ensure financial and overall economic stability in the region through improved financial regulation and other policy measures to minimize the emergent risks. "Managing Elevated Risk: Global Liquidity, Capital Flows, and Macroprudential Policy - An Asian Perspective" also explores the range of policy options that may be deployed to address the impact of global liquidity on domestic financial and socio-economic conditions including income inequality. The book is primarily aimed at policy makers, financial market regulators and supervisory agencies to help them improve national regulatory systems and to promote harmonization of national regulations and practices in line with global standards. Scholars and researchers will also gain important information and knowledge about the overall impacts of changing global liquidity from the book.

Innovations in Quantitative Risk Management

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Book Series: Springer Proceedings in Mathematics & Statistics ISSN: 21941009 ISBN: 9783319091136 9783319091143 Year: Volume: 99 Pages: 438 DOI: 10.1007/978-3-319-09114-3 Language: English
Publisher: Springer
Subject: Business and Management
Added to DOAB on : 2015-07-15 16:03:26
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Quantitative Finance; Game Theory, Economics, Social and Behav. Sciences; Finance/Investment/Banking; Actuarial Sciences

Finance for Food

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ISBN: 9783642540332 9783642540349 Year: Pages: 295 DOI: 10.1007/978-3-642-54034-9 Language: English
Publisher: Springer
Subject: Business and Management --- Economics --- Manufactures
Added to DOAB on : 2014-03-05 12:56:57
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This book reflects the current state of discussion about agricultural and rural finance in developing and transition countries. It provides insight into specific themes, such as commodity value chains, farm banking and risk management in agricultural banking, structured finance, crop insurance, mobile banking and how to increase effectiveness in rural finance. Case studies illustrate various aspects of agricultural and rural finance in developing economies. The book is based on one of the yearly financial Sector Development Symposia held by the KfW Development Bank.

Microfinance 3.0: Reconciling Sustainability with Social Outreach and Responsible Delivery

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ISBN: 9783642417030 9783642417047 Year: Pages: 199 DOI: 10.1007/978-3-642-41704-7 Language: English
Publisher: Springer
Subject: Manufactures --- Business and Management
Added to DOAB on : 2014-02-28 09:49:18
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This book focuses on the achievements, current trends and further potential of microfinance to scale-up and serve many more clients with financial services that enable them to improve their living conditions. The book asks what it takes to achieve sustainable impact: to know your clients and to understand their needs, to treat them in a fair and transparent way, and to safeguard the synthesis between the financial and social dimension of sustainable microfinance. The book also sheds light on the future funding landscape and what is necessary to bring more commercial funders on board while ensuring that these new funders will continue the commitment to responsible finance. While being forward looking, the book reflects the debate on core values of microfinance, triggered by recent criticisms of an approach that was hailed as a panacea in the beginning and which had proved over time as one of the most effective models of development finance. These criticisms emerged over signs of overheating in some markets, particularly the 2010 events in Andhra Pradesh, and turned into an assumption of a worldwide microfinance crisis, putting seriously at stake the good reputation microfinance had enjoyed so far.

Innovations in Insurance, Risk- and Asset Management:Proceedings of the Innovations in Insurance, Risk- and Asset Management Conference Innovations in Insurance, Risk- and Asset Management

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ISBN: 9789813272569 Year: DOI: 10.1142/11051 Language: ENG
Publisher: World Scientific Publishing Co.
Added to DOAB on : 2019-01-23 02:22:36
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This book covers recent developments in the interdisciplinary fields of actuarial science, quantitative finance, risk- and asset management. The authors are leading experts from academia and practice who participated in Innovations in Insurance, Risk- and Asset Management, an international conference held at the Technical University of Munich in 2017.The topics covered include the mathematics of extreme risks, systemic risk, model uncertainty, interest rate and hybrid models, alternative investments, dynamic investment strategies, quantitative risk management, asset liability management, liability driven investments, and behavioral finance.This timely selection of topics is highly relevant for the financial industry and addresses current issues both from an academic as well as from a practitioner's point of view.

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