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OverviewFull Product DetailsAuthor: Edoardo D. MartinoPublisher: Springer Nature Switzerland AG Imprint: Palgrave Macmillan ISBN: 9783032206985ISBN 10: 3032206987 Pages: 361 Publication Date: 29 April 2026 Audience: Professional and scholarly , Professional & Vocational Format: Hardback Publisher's Status: Forthcoming Availability: Not yet available This item is yet to be released. You can pre-order this item and we will dispatch it to you upon its release. Table of ContentsChapter 1 – Introduction.- Chapter 2 – Bank Governance.- Chapter 3 – The EU Bank Resolution Framework and its Ex-ante Potential.- Chapter 4 - The Legal Framework for Market Discipline and Debt Governance.- Chapter 5 – Financial Contracting in Bail-inable Securities and Debt Governance.- Chapter 6 - The Composition Bail-inable a Debt Holders and Debt Governance.- Chapter 7 – Enabling Debt Governance: Bail-Inable Debt and Remuneration.- Chapter 8 - Enabling Debt Governance: Bail-inable Debt and Governance Rights.- Chapter 9 – The 2023 Banking Crisis: Lessons for Debt Governance.ReviewsAuthor InformationEdoardo D. Martino is Associate Professor of Law at the Amsterdam Center for Law and Economics, University of Amsterdam and a Research Associate at the European Banking Institute (EBI). Before joining the UvA, Edoardo earned his PhD in Law and Economics at Erasmus University Rotterdam, an LL.M. from the European Master in Law and Economics – EMLE (with distinction) and Law Degree from University of Florence. He held visiting positions in several Universities, including the European University Institute, Goethe University Frankfurt, LUISS University, and Oxford University. His research focuses on corporate governance, financial regulation, and the regulation of cryptoassets. Tab Content 6Author Website:Countries AvailableAll regions |
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