Revisiting the Indian financial sector : recent issues and perspectives / Paramita Mukherjee, editor.
2022
HG187.I4
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Title
Revisiting the Indian financial sector : recent issues and perspectives / Paramita Mukherjee, editor.
ISBN
9789811676680 (electronic bk.)
9811676682 (electronic bk.)
9811676674
9789811676673
9811676682 (electronic bk.)
9811676674
9789811676673
Publication Details
Singapore : Springer, 2022.
Language
English
Description
1 online resource (303 pages)
Item Number
10.1007/978-981-16-7668-0 doi
Call Number
HG187.I4
Dewey Decimal Classification
332
Summary
This book provides perspectives on the latest developments and pertinent issues in the Indian financial sector in current times. The reforms initiated in the nineties in the financial sector have transformed the way financial markets and institutions function today. However, certain sectors like banking, and markets like the capital market have undergone sea changes. The research contributions in this book focus on the issues pertaining to such sectors like banking, NBFCs and the stock market. The opening up of financial markets and emergence of institutional investors have been a significant phenomenon in the Indian context. At this backdrop of increasing financial integration, the impact of financial liberalisation on the overall development of the sector, and how the global policies and events influence the Indian financial sector, are analysed in the book. The emergence of new regulations in the capital markets to instill more discipline and transparency, have also changed the way corporates take financing decisions. For example, regulatory authorities are continuously reviewing norms pertaining to issues like promoters shareholding owing to risks arising from excessive leverage and the linkages between financial intermediaries. Corporate governance, environmental aspects are some important additions in corporate financing norms in the recent past. The book incorporates a discussion on this, too. Apart from these, the book also has incorporated several aspects on an emerging concept called financial inclusion, its measurement and constraints to achieve the same. And finally, at the backdrop of the disruption created by the COVID-19 pandemic, the impact on the Indian capital market is also discussed. Contributions are based on rigorous empirical research and incorporate the perspectives of renowned academicians in the field of finance and financial economics across the country. Apart from the research community, this book will also be helpful for financial analysts working in the financial sector to have some idea about the current issues, the direction of research on those issues and different perspectives on them.
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Source of Description
Online resource; title from PDF title page (SpringerLink, viewed February 10, 2022).
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India studies in business and economics.
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Table of Contents
Introduction
Measuring financial inclusion: A survey
Financial Inclusion: A Measurement and Comparative Analysis of Countries from Europe and Asia
Financial Constraints and Export Participation: A Case Study of Indian Textile Industry
Financial Liberalization and Financial Development: An Event Study on Emerging Markets
Why do Group Loans Fail in Backward Areas?
Regime Switching Dynamic Risk of Indian Stock Market
Modelling Functional Relationship between Corporate Environmental Expenditure, Performance and Disclosure
Indian Capital Market During the COVID-19 Crisis.
Measuring financial inclusion: A survey
Financial Inclusion: A Measurement and Comparative Analysis of Countries from Europe and Asia
Financial Constraints and Export Participation: A Case Study of Indian Textile Industry
Financial Liberalization and Financial Development: An Event Study on Emerging Markets
Why do Group Loans Fail in Backward Areas?
Regime Switching Dynamic Risk of Indian Stock Market
Modelling Functional Relationship between Corporate Environmental Expenditure, Performance and Disclosure
Indian Capital Market During the COVID-19 Crisis.