Insurance Market Integration in the European Union
Seiten
2022
Routledge (Verlag)
978-1-032-13118-4 (ISBN)
Routledge (Verlag)
978-1-032-13118-4 (ISBN)
Offers an in-depth analysis of the mechanisms of insurance market integration and measures the degree of this integration. Examines the operation of the EU single financial market and against this backdrop, the regulation relating to the insurance market, international insurance market development and issues with assimilation.
Insurance Market Integration in the European Union offers an in-depth analysis of the mechanisms of insurance market integration and measures the degrees of this integration. It examines the operation of the EU single financial market and, against this backdrop, the regulation relating to the insurance market. In addition, the book focuses on the specificity and determinants of international insurance market development and the issues with assimilation set against other financial market segments such as money market, credit-deposit and bond and equity. It discusses the advantages and disadvantages of insurance market integration on an international scale.
The authors propose a unique approach to the subject in the context of the EU and particularly in relation to the European area. They also apply new measures of insurance market integration in the EU in practice through the use of statistical data and implementation of econometric modeling. Further, they investigate how the financial and fiscal crisis has affected the insurance market in EU countries and the impact of European Central Bank monetary policy on the degrees of integration in the European area during and after the financial crisis.
This book will find an audience among academics and researchers in the fields of international economics and finance and applied, financial and growth economics.
Insurance Market Integration in the European Union offers an in-depth analysis of the mechanisms of insurance market integration and measures the degrees of this integration. It examines the operation of the EU single financial market and, against this backdrop, the regulation relating to the insurance market. In addition, the book focuses on the specificity and determinants of international insurance market development and the issues with assimilation set against other financial market segments such as money market, credit-deposit and bond and equity. It discusses the advantages and disadvantages of insurance market integration on an international scale.
The authors propose a unique approach to the subject in the context of the EU and particularly in relation to the European area. They also apply new measures of insurance market integration in the EU in practice through the use of statistical data and implementation of econometric modeling. Further, they investigate how the financial and fiscal crisis has affected the insurance market in EU countries and the impact of European Central Bank monetary policy on the degrees of integration in the European area during and after the financial crisis.
This book will find an audience among academics and researchers in the fields of international economics and finance and applied, financial and growth economics.
Sławomir Ireneusz Bukowski is full professor of economics and finance and rector at Kazimierz Pulaski University of Technology and Humanities, Radom, Poland. Marzanna Barbara Lament is associate professor of finance and accounting in the faculty of Economics and Finance, Kazimierz Pulaski University of Technology and Humanities, Radom, Poland.
1. Single financial market in the EU 2. The specificity and determinants of the international insurance market’s development 3. The integration of financial markets in the in the euro area 4. The definitions and measures of, barriers to and effects of insurance market integration on the international scale 5. Insurance markets integration in the EU
Erscheinungsdatum | 24.10.2022 |
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Reihe/Serie | Banking, Money and International Finance |
Zusatzinfo | 29 Tables, black and white; 20 Line drawings, black and white; 20 Illustrations, black and white |
Verlagsort | London |
Sprache | englisch |
Maße | 156 x 234 mm |
Gewicht | 950 g |
Themenwelt | Betriebswirtschaft / Management ► Spezielle Betriebswirtschaftslehre ► Versicherungsbetriebslehre |
Wirtschaft ► Betriebswirtschaft / Management ► Unternehmensführung / Management | |
Wirtschaft ► Volkswirtschaftslehre ► Wirtschaftspolitik | |
ISBN-10 | 1-032-13118-7 / 1032131187 |
ISBN-13 | 978-1-032-13118-4 / 9781032131184 |
Zustand | Neuware |
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Buch | Softcover (2024)
Stiftung Warentest (Verlag)
CHF 20,95