1st Edition

Banking, Risk and Crises in Europe From the Global Financial Crisis to COVID-19

196 Pages 29 B/W Illustrations
by Routledge

196 Pages 29 B/W Illustrations
by Routledge

196 Pages 29 B/W Illustrations
by Routledge

European economies have been plagued by successive crises, from the Global Financial Crisis (GFC) to the COVID-19 pandemic, through to the economic and geopolitical instability in Ukraine. These events, the uncertainty they generate combined with dynamic technological progress and significant sociocultural changes, have profoundly modified the character of modern finance. Understanding what... Read more

List of figures

List of tables

List of authors

  1. Introduction – European banking transformation (the COVID-19 impact)
  2. COVID-19 versus historical pandemics – economic, social, and political impact
  3. Banking crises – theory, practice and the special case of a pandemic as a source of a banking crisis
  4. European banking sector performance: from global financial crisis to COVID-19 pandemic
  5. Policy response in the banking sector in the context of the COVID-19 epidemic
  6. Changing the business model of banking operations
  7. Transforming credit risk in the light of the COVID-19 pandemic
  8. Challenges in managing other banking risks
  9. Post-COVID-19 European banking sector – what is the "new normal"?

Index

Biography

Renata Karkowska, Ph.D., is an Associate Professor at the University of Warsaw, Faculty of Management

Zbigniew Korzeb, Ph.D., is an Associate Professor at the Bialystok University of Technology, Faculty of Engineering Management

Anna Matysek-Jędrych, Ph.D., is a Professor at the Poznań University of Economics and Business, Institute of International Business and Economics

Paweł Niedziółka Ph.D., is an Associate Professor at the SGH Warsaw School of Economics, Collegium of Socio-Economics