Abstract
[Autom. eng. transl.] The volume deals with the fundamentals of the economics of financial intermediaries, with reference to both the general theoretical schemes, the applications and the main risk assessment and measurement profiles. The adaptation of the US text to the situation of the Italian financial market allows for an updated and complete idea of the situation in which banks, brokerage firms, insurance companies, pension funds and other financial intermediaries operate, in light of the following recent regulatory and operational developments the entry into force of the prudential regulation systems adopted in response to the crises of 2008 and 2011. The topics covered are: financial system in general; financial tools and evaluation techniques; markets (of shares, bonds, currencies and financial instruments) risks faced in the context of financial intermediation.
Translated title of the contribution | [Autom. eng. transl.] Economics of financial intermediaries. |
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Original language | Italian |
Title of host publication | Economia degli intermediari finanziari |
Editors | Barbara Alemanni Mario Anolli |
Pages | 47-158 |
Number of pages | 112 |
Publication status | Published - 2022 |
Keywords
- economia degli interemediari finanziari, strumenti finanziari, rischi finanziari, mercato finanziario