Routledge International Studies in Money and Banking
About the Book Series
This series explores the roles of money and banking in the modern world. Banking is an increasingly important and international industry, and its interaction with money is a major concern for the world's economic policy-makers.
Decarbonisation and the Reshaping of Risk: Finance, Behaviour and Governance in the Transition
1st Edition
Edited
By Maurizio Pompella, Cristina Roxana Tanasescu
August 21, 2026
This book presents a comprehensive and innovative analysis of decarbonisation and reshaping of risk in contemporary financial and institutional systems. It develops a multidimensional approach that integrates finance, behavioural dynamics and governance within ongoing technological and climate ...
Bank Failure and Resolution in the EU: Lessons for the Crisis Management and Deposit Insurance Framework
1st Edition
Edited
By Sebastian Royo, Ewa Miklaszewska, Giovanni Ferri
August 11, 2026
Financial crises are recurring events that expose weaknesses in risk management, regulation, and supervision. The 2008 financial crisis demonstrated the systemic nature of banking crises and the high cost of taxpayer-funded bailouts, leading policymakers to reform crisis-management frameworks. In ...
Central Bank Digital Currencies in Asia Pacific: Barriers to Design, Development, and Implementation
1st Edition
By Simeon Lawson
July 06, 2026
Advanced and emerging economies within Asia Pacific are exploring Central Bank Digital Currencies (CBDCs) as the next step towards digital public money to ensure monetary systems are appropriate, adaptive, and future-proof. Each jurisdiction will encounter its own subtly unique challenges in ...
Strategic Risk Management and Sustainable Banking
1st Edition
By Jason Crawford, Fredrik Nilsson
June 25, 2026
This book examines the role of strategic risk management (SRM) in the transformation of banks and their customers towards more sustainable business practices. Banks play a particularly important role in this transformation because they have been tasked with redirecting capital flows to sustainable ...
Green Bonds and Sustainable Finance: The Evolution of Portfolio Management in Conventional Markets
1st Edition
Edited
By Muhammad Saeed Meo, Marcin W. Staniewski
May 31, 2026
This book introduces green bonds and their significance in portfolio management and sustainable finance. It emphasizes the significance of green bonds in terms of two primary factors: environmental sustainability and investor return. The book establishes the definitions, features, and typology of ...
Sustainable Finance and ESG Investing: Integration and Performance
1st Edition
Edited
By Kirti Sood, Vikas Sharma, Andreia de Bem Machado
May 29, 2026
In the dynamic landscape of contemporary finance, the emergence and growth of environmental, social, and governance (ESG) investing signify a paradigm shift, redefining the foundational tenets of portfolio analysis and management. This book provides a comprehensive examination of ESG investing, ...
Open Banking: Global Development and Regulation
1st Edition
By Francesco De Pascalis, Alan Brener
May 22, 2026
Open banking ends the proprietary control of customer information by banks and allows customers to share their banking financial data with third parties as a matter of right. It can also permit customers to allow others to remove funds directly from their bank accounts in return for goods and ...
Safe Assets in the Global Economy: Supply, Demand and Financial Stability
1st Edition
By Joanna Bogołębska, Ewa Feder-Sempach, Ewa Stawasz-Grabowska
May 22, 2026
Safe assets constitute an essential component of the contemporary, international financial system and are vital to its stability. As they are perceived as risk-free assets, they are a special type of financial instrument. Although the vast majority of safe assets are issued by governments, due to ...
Strategy, Finance and Sustainable Value Creation
1st Edition
By Claudio Scardovi
May 22, 2026
Strategy and finance are generally viewed as two separate subjects. Once regarded with fascination, they have become the subject of strong criticism, the first considered too theoretical and long term to be of any use and the second too speculative and short term to contribute to value creation. ...
Financial Instability and Systemic Risk: From the Global Financial Crisis and Beyond
1st Edition
By Jagoda Kaszowska-Mojsa
May 01, 2026
The Global Financial Crisis revealed that systemic fragility arises not only from identifiable risks but also from systemic uncertainty – the endogenous and often unpredictable dynamics that build up within financial systems and amplify across time and space. More than a decade later, this dual ...
Behavioural Finance and Ethical Investing
1st Edition
By Kok Loang Ooi, Wee Yeap Lau
March 04, 2026
Contextualising the effective and ineffective approaches to Environmental, Social, and Governance (ESG) implementation across the globe from a behavioural finance perspective, this book covers a range of considerations that must be made when firms choose the sustainable path. This book begins with ...
Environmental, Social and Governance Practices in the FinTech Era: Credit Markets and the Future of Lending
1st Edition
Edited
By Valeria Stefanelli, Matteo Cotugno
February 13, 2026
In the Twin Transition era, digital technologies and Environmental, Social, and Governance (ESG) paradigms are changing the dynamics of the financial industry in terms of the operators involved and the service models addressed to customers. This book provides a comprehensive analysis of the ...






