Japan’s Financial System
New Perspectives and Potential Risks in the Post-Global Financial Crisis Era
Contributor(s)
Iwaisako, Tokuo (editor)
Language
EnglishAbstract
This book is a collection of papers from the Tokyo Center for Economic Research's (TCER) research project on Japan's financial markets and financial system, including: (1) Current Japanese situation of cashless payments for individuals and households, (2) The possibility that digital currencies replace the current payment system in which the banking system provides the means of credit transactions, (3) Long-turn measurement of the value added generated by Japan's financial intermediaries, with an overview of Japanese banking industry’s business model, (4) Regional financial institutions' recent efforts to support their clients’ businesses by consultation, (5) The impact of the digitalization of stock trading on the Japanese market: factor investing and high-frequency trading (HFT), (6) Analysis of theoretical and real-world portfolio allocations based on the concepts of model uncertainty and ambiguity aversion, (7) An empirical analysis on ESG investment in Japan, focusing on the heterogeneity of institutional investors, (8) Japanese firms’ corporate governance: financial vs internal governance, (9) Japanese companies’ use of corporate insurance as a company-wide decision-making process, (10) The coexistence of zombie firms and debt-free healthy firms since the 1990s. (11) The validity of Japanese government's liquidity provision for troubled firms during the financial crisis and the Covid-19 crisis. This is an open access book.
Keywords
Japanese financial system; Japanese stock market; Japanese banking system; Japanese corporate governance; Fin Tech in Japan; ESG investment in JapanDOI
10.1007/978-981-97-9258-0ISBN
9789819792580, 9789819792580, 9789819792573Publisher
Springer NaturePublisher website
https://www.springernature.com/gp/products/booksPublication date and place
Singapore, 2025Grantor
Imprint
Springer Nature SingaporeSeries
Hitotsubashi University IER Economic Research Series, 49Classification
Macroeconomics
Finance and the finance industry


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