Decision Taking, Confidence and Risk Management in Banks from Early Modernity to the 20th Century

Decision Taking, Confidence and Risk Management in Banks from Early Modernity to the 20th Century

Schoenhaerl, Korinna

Springer International Publishing AG

02/2017

342

Dura

Inglês

9783319420752

15 a 20 dias

5711

Descrição não disponível.
Chapter 1) Introduction; Korinna Schoenhaerl.- Part 1: Recruitment of Personnel and Partners.- Chapter 2) The House of Morgan: Private family bank in transition; Susie J Pak.- Chapter 3) Cooperative Governance in Banking: Consequences for decision-taking processes; Friederike Sattler.- Chapter 4) Top Careers as a Means of Risk Management in Organisations; Daniel Wylegala.- Part 2) Risk Management Techniques.- Chapter 5) Minimizing Risk: Financial intermediaries and bond issuing in London before the Great War; Anders l Mikkelsen.- Chapter 6) Financial Centres as Fields: Reflections on habitus and risk in the nineteenth and twentieth centuries.- Chapter 7) The "Reputation Approach" and the Justificatory Function of Economic Calculation: Some Critical Reflections on Monika Pohle Fraser's Analysis of Risk Management Techniques in the Nineteenth Century; Sebastian Knake.- Chapter 8) Investigating Attitudes to risk in British Banking: A case study of Barclays' branch banking system, c. 1900-80; Matthew Hollow.- Chapter 9) Between novelty and fashion - Risk management and the adoption of computers in retail banking; Bernardo Batiz-Lazo.- Part 3: Methodological Tools for Historians: Network-Theory, Principal-Agent-Relationship, Behavioural Finance and Social Capital.- Chapter 10) Social capital versus commercial profits: The pressure of networks on decision making in early modern banks; Nadia Matringe.- Chapter 11) Risk management, credit and the operation of merchants' networks in early modern banking; Daniel Velinov.- Chapter 12) The role of group psychology in behavioural finance: A research starting point for banking, economic and financial historians; Victor Ricciardi.- Chapter 13) Behavioural finance as a methodological approach for historians? A field report concerning the construction of the Canal of Corinth in nineteenth-century Greece; Korinna Schoenhaerl.- Chapter 14) Considering social capital and the future research of banking history; Morten Reitmayer.
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Financial Psychology;Behavioural Finance;Sustainable Banking;Foreign Investment;Financial Intermediaries;Bond Issuance;Financial Centres;Financial Intermediation;banking