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  • © 2017

The Business of Banking

Models, Risk and Regulation

Palgrave Macmillan
  • Investigates contemporary issues affecting the business of banking
  • Explores short selling bans following Brexit
  • Evaluates the European Deposit Guarantee Scheme
  • Includes supplementary material: sn.pub/extras

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Table of contents (9 chapters)

  1. Front Matter

    Pages i-xviii
  2. Introduction

    • Giusy Chesini, Elisa Giaretta, Andrea Paltrinieri
    Pages 1-4
  3. Interest Rates and Net Interest Margins: The Impact of Monetary Policy

    • Paula Cruz-García, Juan Fernández de Guevara, Joaquín Maudos
    Pages 5-33
  4. Why Do US Banks React Differently to Short Selling Bans?

    • Daniele Angelo Previati, Giuseppe Galloppo, Mauro Aliano, Viktoriia Paimanova
    Pages 79-108
  5. Reputational Risk in Banking: Important to Whom?

    • Ewa Miklaszewska, Krzysztof Kil
    Pages 109-129
  6. The Business Model of Banks: A Review of the Theoretical and Empirical Literature

    • Stefano Cosma, Riccardo Ferretti, Elisabetta Gualandri, Andrea Landi, Valeria Venturelli
    Pages 131-167
  7. On European Deposit Protection Scheme(s)

    • Milena Migliavacca
    Pages 169-202
  8. A Technical Approach to Deposit Guarantee Schemes

    • Francesca Arnaboldi
    Pages 203-233
  9. Back Matter

    Pages 235-239

About this book

This book offers new insights on banking business models, risks and regulation proposals in the aftermath of the European financial crisis. It investigates the main issues affecting the business of banking nowadays, such as low interest rates and non-performing loans. The combined effect of low to negative interest rates and weak economic growth has encouraged banks to shift their business towards new areas less associated with interest rates, which financial markets and institutional investors are currently evaluating. Contributions also shed new light on topics not yet fully investigated by current literature, such as banks’ short selling bans after Brexit, the European Deposit Guarantee Scheme and banks’ risk appetite framework. This book will be of interest to researchers, scholars and practitioners.

Editors and Affiliations

  • Department of Economics, University of Verona, Verona, Italy

    Giusy Chesini

  • Department of Business Administration, University of Verona, Verona, Italy

    Elisa Giaretta

  • Department of Economic and Statistical Sciences, University of Udine, Udine, Italy

    Andrea Paltrinieri

About the editors

Giusy Chesini is Associate Professor in Banking and Finance at the University of Verona, Italy. She holds a PhD in financial markets and intermediaries from the University of Bergamo, Italy. Giusy is also the author of several papers and books related to the evolution of financial intermediation. Her research topics include financial markets, stock exchanges, banking and corporate finance.

Elisa Giaretta is a Research Fellow at the University of Verona, Italy, where she received a PhD in Business Administration and Management. She works in the ‘Polo Scientifico e Didattico di Studi sull’Impresa’, an academic centre focused on the analysis of Italian enterprises. Her research topics include private equity, companies’ networks and bank risks.

Andrea Paltrinieri is Assistant Professor in Banking and Finance at the University of Udine, Italy. He holds a PhD in Business Administration from the University of Verona, Italy. Research topics include asset management and institutional investors, with a particular focus on sovereign wealth funds, Islamic finance and the relative financial instruments such as sukuk, commodity markets and exchange traded products.




Bibliographic Information

  • Book Title: The Business of Banking

  • Book Subtitle: Models, Risk and Regulation

  • Editors: Giusy Chesini, Elisa Giaretta, Andrea Paltrinieri

  • Series Title: Palgrave Macmillan Studies in Banking and Financial Institutions

  • DOI: https://doi.org/10.1007/978-3-319-54894-4

  • Publisher: Palgrave Macmillan Cham

  • eBook Packages: Economics and Finance, Economics and Finance (R0)

  • Copyright Information: The Editor(s) (if applicable) and The Author(s), under exclusive license to Springer International Publishing AG, part of Springer Nature 2017

  • Hardcover ISBN: 978-3-319-54893-7Published: 19 October 2017

  • Softcover ISBN: 978-3-319-85512-7Published: 14 August 2018

  • eBook ISBN: 978-3-319-54894-4Published: 09 October 2017

  • Series ISSN: 2523-336X

  • Series E-ISSN: 2523-3378

  • Edition Number: 1

  • Number of Pages: XVIII, 239

  • Number of Illustrations: 22 b/w illustrations

  • Topics: Banking, Risk Management

  • Industry Sectors: Engineering, Finance, Business & Banking

Buy it now

Buying options

eBook USD 99.00
Price excludes VAT (USA)
  • Available as EPUB and PDF
  • Read on any device
  • Instant download
  • Own it forever
Softcover Book USD 129.99
Price excludes VAT (USA)
  • Compact, lightweight edition
  • Dispatched in 3 to 5 business days
  • Free shipping worldwide - see info
Hardcover Book USD 129.99
Price excludes VAT (USA)
  • Durable hardcover edition
  • Dispatched in 3 to 5 business days
  • Free shipping worldwide - see info

Tax calculation will be finalised at checkout

Other ways to access