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Preparing for the next financial cri...
~
Jokivuolle, Esa.
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Preparing for the next financial crisis = policies, tools and models /
Record Type:
Electronic resources : Monograph/item
Title/Author:
Preparing for the next financial crisis/ edited by Esa Jokivuolle, Radu Tunaru.
Reminder of title:
policies, tools and models /
other author:
Jokivuolle, Esa.
Published:
Cambridge :Cambridge University Press, : 2017.,
Description:
xvi, 187 p. :digital ;24 cm.
Notes:
Title from publisher's bibliographic system (viewed on 17 Nov 2017).
[NT 15003449]:
Machine generated contents note: 1. Introduction; 2. Non-standard monetary policy and financial stability: developing an appropriate macro-financial policy mix; 3. Financial innovation and financial stability: an introduction; 4. Post-crisis changes in US bank prudential regulation; 5. Financial markets and policy through the lens of macroeconomics; 6. Investment doctrines for banks, from real bills to post-crisis reforms; 7. Stress testing in banking: a critical review; 8. Making sense of the EU wide stress test - comparing SRISK and the ECB/EBA measures of bank vulnerability.
Subject:
Finance - Government policy. -
Online resource:
https://doi.org/10.1017/9781316884560
ISBN:
9781316884560
Preparing for the next financial crisis = policies, tools and models /
Preparing for the next financial crisis
policies, tools and models /[electronic resource] :edited by Esa Jokivuolle, Radu Tunaru. - Cambridge :Cambridge University Press,2017. - xvi, 187 p. :digital ;24 cm.
Title from publisher's bibliographic system (viewed on 17 Nov 2017).
Machine generated contents note: 1. Introduction; 2. Non-standard monetary policy and financial stability: developing an appropriate macro-financial policy mix; 3. Financial innovation and financial stability: an introduction; 4. Post-crisis changes in US bank prudential regulation; 5. Financial markets and policy through the lens of macroeconomics; 6. Investment doctrines for banks, from real bills to post-crisis reforms; 7. Stress testing in banking: a critical review; 8. Making sense of the EU wide stress test - comparing SRISK and the ECB/EBA measures of bank vulnerability.
In the years since the subprime financial crisis of 2007-2011, we have learned a number of important lessons about the crisis, and have subsequently applied appropriate legislation, such as increased capital ratios and systematic stress testing, in order to combat it. However, it would be naive to suggest that such measures have put an end to the possibility of future crises. In this book, senior figures in economics, risk Management, and the banking sector use active research and policy debates to offer a wide perspective on what the next financial crisis may look like and what can be done about it from a regulatory point of view. By first exploring issues of macroeconomic policy, and then studying cutting-edge methodologies, challenging important aspects of testing financial practice, this book will be an essential read for all those studying and researching financial crises, financial regulation and macroprudential policy-making.
ISBN: 9781316884560Subjects--Topical Terms:
1274561
Finance
--Government policy.
LC Class. No.: HG173 / .P74 2017
Dewey Class. No.: 339.5
Preparing for the next financial crisis = policies, tools and models /
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Machine generated contents note: 1. Introduction; 2. Non-standard monetary policy and financial stability: developing an appropriate macro-financial policy mix; 3. Financial innovation and financial stability: an introduction; 4. Post-crisis changes in US bank prudential regulation; 5. Financial markets and policy through the lens of macroeconomics; 6. Investment doctrines for banks, from real bills to post-crisis reforms; 7. Stress testing in banking: a critical review; 8. Making sense of the EU wide stress test - comparing SRISK and the ECB/EBA measures of bank vulnerability.
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In the years since the subprime financial crisis of 2007-2011, we have learned a number of important lessons about the crisis, and have subsequently applied appropriate legislation, such as increased capital ratios and systematic stress testing, in order to combat it. However, it would be naive to suggest that such measures have put an end to the possibility of future crises. In this book, senior figures in economics, risk Management, and the banking sector use active research and policy debates to offer a wide perspective on what the next financial crisis may look like and what can be done about it from a regulatory point of view. By first exploring issues of macroeconomic policy, and then studying cutting-edge methodologies, challenging important aspects of testing financial practice, this book will be an essential read for all those studying and researching financial crises, financial regulation and macroprudential policy-making.
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https://doi.org/10.1017/9781316884560
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W9387821
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EB HG173 .P74 2017
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