Innovations in Finance: Proceedings of the World Finance Conference, Malta 2025
暫譯: 金融創新:2025年馬爾他世界金融會議論文集
Vieito, João Paulo
相關主題
商品描述
This proceedings volume presents a collection of papers from the Worls Finance Conference, held in Malta in July 2025, reflecting the significant number of participants. The book explores key topics in finance, offering a comprehensive overview of the latest research and developments. Topics include Corporate Finance, Investments, Asset Pricing, Market Microstructure, Options and Derivatives, Banking and Financial Institutions, International Finance, Behavioral Finance, Islamic Banking and Finance, and Corporate Social Responsibility & Ethics. Each volume serves as a valuable resource for researchers, academics, and professionals in the finance sector, providing critical insights into current trends, practices, and challenges. This book is an essential reference for anyone seeking to understand the evolving landscape of finance and its impact on global markets and institutions.
商品描述(中文翻譯)
本論文集收錄了2025年7月在馬爾他舉行的世界金融會議的多篇論文,反映出參與者的龐大數量。本書探討了金融領域的關鍵主題,提供了最新研究和發展的全面概述。主題包括企業金融、投資、資產定價、市場微觀結構、選擇權與衍生品、銀行與金融機構、國際金融、行為金融、伊斯蘭銀行與金融,以及企業社會責任與倫理。每一卷都是金融領域研究者、學者和專業人士的重要資源,提供對當前趨勢、實踐和挑戰的關鍵見解。本書是任何希望了解金融不斷演變的格局及其對全球市場和機構影響的必備參考資料。
作者簡介
João Paulo Vieito is a Full Professor of Finance and served as the Dean of the School of Business Studies at the Polytechnic Institute of Viana do Castelo (IPVC) in Portugal from 2009 to 2019. He holds a Post-Doctorate in Neurofinance from the University of São Paulo, Brazil, and a Ph.D. in Business Sciences with a specialization in Finance from the University of Porto, Portugal. He also holds a Master's in Finance from Católica University in Portugal. Since 2009, he has served as Chairman of the World Finance Conferences and the World Finance & Banking Symposium. His teaching and research interests include Behavioral Finance, Equity Analysis, Investment Theory, Financial Modeling, and Corporate Governance. Dr. Vieito has published extensively in leading journals such as Journal of Financial Stability, Journal of Corporate Finance, Asia Pacific Journal of Management, Applied Economics, Studies in Economics and Finance, Journal of Behavioral Finance, Corporate Governance: An International Review, and International Review of Economics and Finance, among others. He serves on the editorial boards of several prominent finance journals and has authored multiple books, including Finanças Empresariais: Teoria e Prática and Executivos - Como são (re)compensados. Additionally, he has been an invited speaker at prestigious institutions such as the University of São Paulo, Delhi School of Economics, and Zhejiang University.
作者簡介(中文翻譯)
若昂·保羅·維耶托是金融學的全職教授,並於2009年至2019年間擔任葡萄牙維亞納杜卡斯特羅多學院(IPVC)商學院的院長。他擁有巴西聖保羅大學的神經金融學博士後學位,以及葡萄牙波爾圖大學的商業科學博士學位,專攻金融學。他還擁有葡萄牙天主教大學的金融碩士學位。自2009年以來,他擔任世界金融會議和世界金融與銀行研討會的主席。他的教學和研究興趣包括行為金融學、股票分析、投資理論、金融建模和公司治理。維耶托博士在多本領先的期刊上發表了大量文章,如《金融穩定期刊》、《公司金融期刊》、《亞太管理期刊》、《應用經濟學》、《經濟與金融研究》、《行為金融期刊》、《公司治理:國際評論》和《國際經濟與金融評論》等。他擔任多本知名金融期刊的編輯委員會成員,並著有多本書籍,包括《企業金融:理論與實踐》和《高管 - 他們是如何(再)獲得報酬的》。此外,他還曾在聖保羅大學、德里經濟學院和浙江大學等知名機構擔任受邀演講者。