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Credit & Credit Institutions Books

You are currently browsing 1–10 of 24 new and published books in the subject of Credit & Credit Institutions — sorted by publish date from newer books to older books.

For books that are not yet published; please browse forthcoming books.

New and Published Books

  1. Understanding Financial Risk Management

    By Angelo Corelli

    Series: Routledge Advanced Texts in Economics and Finance

    Financial Risk Management is a topic of primary importance in financial markets and, more generally, in life. Risk can be seen as an opportunity if related to the concept of compensative return. It is therefore important to learn how to measure and control risk, in order to get exposure to as much...

    Published October 7th 2014 by Routledge

  2. History and Financial Crisis

    Lessons from the 20th century

    Edited by Christopher Kobrak, Mira Wilkins

    One striking weaknesses of our financial architecture, which helped bring on and perhaps deepen the Panic of 2008, is an inadequate appreciation of the past. Information about how the system functioned and the reliability of organizations and institutional controls were drawn from a relatively...

    Published September 12th 2014 by Routledge

  3. Of Synthetic Finance

    Three Essays of Speculative Materialism

    By Benjamin Lozano

    Series: Routledge Frontiers of Political Economy

    Synthetic finance revolutionizes materialism such that we can now create wealth in the process of universally distributing it. While financial innovation in global capitalism provided the conditions for the 2008 financial crisis, it has also engineered a set of financial technologies with universal...

    Published July 30th 2014 by Routledge

  4. The Lunacy of Modern Finance Theory and Regulation

    By Les Coleman

    This provocative book provides insight into a finance industry that is run for the benefit of banks and service providers who rely on Beatles-era theories and regulation which are totally unsuited to the modern world. The author has a near-unique perspective based on over 30 years of working –...

    Published July 24th 2014 by Routledge

  5. Debt, Risk and Liquidity in Futures Markets

    By Barry Goss

    Series: Routledge International Studies in Money and Banking

    The issues of developing country debt crises, increased volatility and risk, and the determination of market liquidity are high on the agendas of policy makers, market participants and researchers in the area of financial markets. These issues are also of major importance to regulators and exchange...

    Published June 23rd 2014 by Routledge

  6. The Future of Payment Systems

    Edited by Stephen Millard, Andrew Haldane, Victoria Saporta

    Series: Routledge International Studies in Money and Banking

    Drawing on wide-ranging contributions from prominent international experts and discussing some of the most pressing issues facing policy makers and practitioners in the field of payment systems today, this volume provides cutting-edge perspectives on the current issues surrounding payment systems...

    Published June 23rd 2014 by Routledge

  7. The Anti Money Laundering Complex and the Compliance Industry

    By Antoinette Verhage

    Series: Routledge Studies in Crime and Economics

    Financial institutions, as gateways to the financial system, to economic power and possibilities, are one of the major vehicles for money laundering and therefore also represent an important means to prevent this type of crime. The compliance officer symbolises a part of this private investment in...

    Published May 30th 2014 by Routledge

  8. Banking Crises, Liquidity, and Credit Lines

    A Macroeconomic Perspective

    By Gurbachan Singh

    Series: Routledge International Studies in Money and Banking

    The banking crisis in 2007-10 was one amongst many such crises in the past. This book provides a fresh approach to liquidity. It starts from basics and gradually builds up analysis of credit lines with few technicalities. Though the analysis is theoretical, the book provides a historical background...

    Published May 19th 2014 by Routledge

  9. Law Enforcement and the History of Financial Market Manipulation

    By Jerry Markham

    Price manipulation techniques are intentionally difficult to understand, detect, and prove, and the rise of high-frequency trading has further complicated the task. This book maps the issues and traces the U.S. government's efforts to properly regulate, monitor, and prevent financial speculation...

    Published October 30th 2013 by Routledge

  10. Microfinance, Debt and Over-Indebtedness

    Juggling with Money

    Edited by Isabelle Guérin, Solène Morvant-Roux, Magdalena Villarreal

    Series: Routledge Studies in Development Economics

    Although microcredit programmes have long been considered efficient development tools, many forms of debt-induced distress have emerged in their wake. This has brought to light the problem of over-indebtedness, a topic which has been previously underexplored in the literature. This new book, from a...

    Published September 10th 2013 by Routledge