
Financial Integration in the European Union
Routledge (Publisher)
1st Edition
Published on 12. March 2012
Book
Hardback
280 pages
978-0-415-69076-8 (ISBN)
Description
This edited collection assesses the level of financial integration in the European Union (EU) and the differences across the countries and segments of the EU financial system. Progress in financial integration is key to the EU's economic growth and competitiveness and although it has advanced substantially, the process is still far from completion. This book focuses on the pace of financial integration in the EU with special emphasis on the new EU Member States and investigates their progress in comparison with 'old' EU countries.
The book is the first of its kind to include and evaluate the effects of the global financial crisis on the process of EU financial integration. In particular, the book's contributors address the issue of whether a high degree of financial integration contributed to the intensification of the financial crisis, or whether a low level of integration prevented countries and financial industries from some of the negative effects of the crisis. Although most of the chapters apply contemporary econometric tools, the technical part is always reduced to indispensable minimum and the emphasis is given to economic interpretation of the results. The book aims to offer an up to date and insightful examination of the process of financial integration in the EU today.
The book is the first of its kind to include and evaluate the effects of the global financial crisis on the process of EU financial integration. In particular, the book's contributors address the issue of whether a high degree of financial integration contributed to the intensification of the financial crisis, or whether a low level of integration prevented countries and financial industries from some of the negative effects of the crisis. Although most of the chapters apply contemporary econometric tools, the technical part is always reduced to indispensable minimum and the emphasis is given to economic interpretation of the results. The book aims to offer an up to date and insightful examination of the process of financial integration in the EU today.
More details
Series
Language
English
Place of publication
London
United Kingdom
Publishing group
Taylor & Francis Ltd
Target group
College/higher education
Illustrations
144 s/w Abbildungen, 144 s/w Zeichnungen, 69 s/w Tabellen
69 Tables, black and white; 144 Line drawings, black and white; 144 Illustrations, black and white
Dimensions
Height: 240 mm
Width: 161 mm
Thickness: 20 mm
Weight
590 gr
ISBN-13
978-0-415-69076-8 (9780415690768)
Copyright in bibliographic data and cover images is held by Nielsen Book Services Limited or by the publishers or by their respective licensors: all rights reserved.
Schweitzer Classification
Other editions
Additional editions

Roman Matousek | Daniel Stavarek
Financial Integration in the European Union
Book
07/2014
1st Edition
Routledge
€78.70
Shipment within 10-20 days

Roman Matousek | Daniel Stavarek
Financial Integration in the European Union
E-Book
03/2012
1st Edition
Routledge
€72.49
Available for download

Roman Matousek | Daniel Stavarek
Financial Integration in the European Union
E-Book
03/2012
1st Edition
Routledge
€72.49
Available for download
Persons
Roman Matousek is Professor of Finance and Director at the Centre for EMEA Banking, Finance & Economics at London Metropolitan Business School, UK.
Daniel Stavarek is Associate Professor of International Finance and Head of the Department of Finance at Silesian University, School of Business Administration in Karvina, Czech Republic.
Daniel Stavarek is Associate Professor of International Finance and Head of the Department of Finance at Silesian University, School of Business Administration in Karvina, Czech Republic.
Editor
London Metropolitan Business School, UK
Silesian University, Czech Republic
Content
1. Theory of Financial Integration and Achievements in the European Union Daniel Stavarek, Iveta Repkova and Katarina Gajdosova 2. Financial Integration at Times of Financial Instability Jan Babecky, Lubos Komarek and Zlatuse Komarkova 3. Integration of Financial Markets in the European Union: Regulation and Supervision Framework Stanislav Poloucek 4. National and Sectoral Integration of Chinese and Russian Stock Market with World Markets Jan Babecky, Lubos Komarek and Zlatuse Komarkova 5. Integration of Credit Markets in the Visegrad Countries with the Euro Area Pavla Vodova 6. Testing for East-West Contagion in the European Banking Sector During the Financial Crisis Emidio Cocozza and Paolo Piselli 7. European Exchange Rates Volatility and its Asymmetrical Components During the Financial Crisis Daniel Stavarek 8. Interesting Findings About Risk Estimation and Backtesting at European FX Rate Market Gabriela Cielepova and Tomas Tichy 9. Determinants of the Exchange Market Pressure in the Euro-Candidate Countries Daniel Stavarek 10. European Tax Harmonization and the Effects of Tax Changes on Economic Growth Irena Szarowska