E-Book, Englisch, 457 Seiten, eBook
Bisignano / Hunter / Kaufman Global Financial Crises
Erscheinungsjahr 2012
ISBN: 978-1-4615-4367-1
Verlag: Springer US
Format: PDF
Kopierschutz: 1 - PDF Watermark
Lessons From Recent Events
E-Book, Englisch, 457 Seiten, eBook
ISBN: 978-1-4615-4367-1
Verlag: Springer US
Format: PDF
Kopierschutz: 1 - PDF Watermark
Zielgruppe
Research
Autoren/Hrsg.
Weitere Infos & Material
I: Opening Remarks and Keynote Addresses.- 1 Opening Remarks.- 2 Lessons from the Asian Crisis.- 3 Lessons from Recent Global Financial Crises.- II: Review of Recent Financial Crises.- 4 Latin America: No Fireworks, No Crisis?.- 5 The Asian Crises Revisited.- 6 Lessons from Economies in Transition during the Recent Global Financial Crises.- 7 The Financial Crisis in Russia.- III: Review of Policy Responses.- 8 Monetary Policy to Resist Excessive Depreciation.- 9 Lessons from the Global Financial Crisis.- 10 Policy Responses to Global Financial Crises.- 11 Restructuring Banking Systems.- 12 Discussion of Policy Responses.- IV: What Have We Learned from the Crises and Policy Responses?.- 13 Exchange Rate Overvaluation and Currency Crises: Lessons from Latin America and East Asia.- 14 Limiting Moral Hazard and Reducing Risk in International Capital Flows: The Choice of an Exchange Rate Regime.- 15 What Have We Learned from Recent Financial Crises and Policy Responses?.- 16 The Korean Financial Crisis: Causes, Response, and Lessons.- 17 Comment on Crises and Policy Responses.- V: Redesign of Capital Regulations.- 18 International Bank Capital Standards: Next Steps.- 19 A Framework for Redesign of Capital Regulations.- 20 A Review of Proposals for Redesign of Capital Regulations.- 21 The New Regulatory Environment and the Need for Consistent Risk Measures for Financial Institutions.- 22 The Roles of Banks, Supervisors, and the Market in Balancing Sensitivity and Stability.- VI: Deposit Insurance Reform and Moral Hazard and Agency Problems.- 23 Notes on Market-Based Bank Regulation.- 24 Moral Hazard and Reform of the Government Safety Net.- 25 Banks’ Fragility and the Lender of Last Resort.- 26 Moral Hazard and Reform of the Government Safety Net: A Comment.- 27 MoralHazard in Banking: The Recent Argentine Experience.- VII: Nonbank Financial Institutions, Too Big to Fail, and State Ownership.- 28 Financial Regulation, Prudential Supervision, and Market Discipline: Striking a New Balance.- 29 Observations on Corporate Governance in the Asian Crisis.- 30 The Emerging Market Crisis and the Washington Consensus.- 31 Lessons of the Asia/Russia Financial Crises.- VIII: Role of Supervision and Regulation.- 32 Making Financial Sector Supervision Work.- 33 Lessons from Recent Global Financial Crises.- 34 Thoughts on the Role of Regulation and Supervision from the Perspective of the Mexican Experience.- 35 What Regulators and Bankers Can Learn from Global Financial Crises.- IX: Future of Official International Organizations.- 36 A World Financial Authority.- 37 Strengthening the International Financial Architecture: Recommendations of the Council on Foreign Relations Task Force.- 38 Strengthening Financial Stability: Institutional Approach or Pragmatic Multitherapy?.- 39 Statement of the Future of Official International Organizations.- 40 The Future of Official International Organizations.- 41 Saving the IMF’s Seal of Approval.- X: Summary.- 42 Summary and Closing Remarks.- Conference Program.- Contributors.