Systemic risk in the financial sector : ten years after the great crash / editors: Douglas W. Arner ; Emilois Avgouleas ; Danny Busch ; Steven L. Schwarcz.
| Format | Electronic |
| Publication | Waterloo, Ontario : Centre for International Governance Innovation, 2019. |
| Description | 1 online resource |
| Supplemental Content | ProQuest Ebook Central |
| Subjects |
| Other author/creator | Arner, Douglas W., editor. |
| Other author/creator | Avgouleas, Emilios, 1968- editor. |
| Other author/creator | Busch, Danny editor. |
| Other author/creator | Schwarcz, Steven L., editor. |
| Other author/creator | Centre for International Governance Innovation issuing body. |
| Contents | Regulating systemic risk : a comparative perspective / Anita Anand & Maziar Peihani -- Bank resolution a decade after the global financial crisis : a systematic reappraisal / Emilios Avgouleas & Charles Goodhart -- Three major financial crises : what have we learned? / Ross Buckley, Emilios Avgouleas & Douglas Arner -- Fintech, regtech and systemic risk : the rise of global technological risk / Douglas Arner, Ross Buckley & Dirk Zetzsche -- Regulating systemic risk in the EU financial sector / Danny Busch & Mirik van Rijn -- Clearinghouses and systemic risk / Paolo Saguato & Guido Ferrarini -- Perspectives from the United States and Europe on systemic risk / Ron Feldman & Paul Hiebert -- Data standardization : easy in theory, hard in practice, more vital than ever / Kathryn Judge & Richard Berner -- Central banks as macroprudential authorities : economics and politics / Donato Masciandaro: -- Activities are not enough! Why non-bank SIFI designations are essential to prevent systemic risk / Daniel Schwarcz, Patricia McCoy, & Jeremy Kress. |
| Abstract | "In late 2008, the world's financial system was teetering on the brink of systemic collapse. While the impacts of the global financial crisis would be felt immediately, at every level of the economy, it would also send years-long aftershocks through investment, banking and regulatory circles worldwide. More than a decade after the worst year of the global financial crisis, what has been learned from its harsh lessons? Are governments and regulators more prepared for another financial system failure that would significantly affect the real economy? What may be the potential triggers for such a collapse to occur in the future? This book draws on some of the world's leading experts on financial stability and regulation to examine and critique the progress made since 2008 in addressing systemic risk. The book covers topics such as central banks and macroprudential policies; fintech; regulators' perspectives from the United States and the European Union; the logistical and incentive challenges that impede standardization and collection; clearing houses and systemic risk; optimal resolution and bail-in tools; and bank leverage, welfare and regulation. Drawing on experts across disciplines -- including Howell Jackson, John Geanakoplos, Charles Goodhart, Anat Admati, Roberta Romano and Martin Hellwig -- Systemic Risk in the Financial Sector is the definitive guide to understanding the global financial crisis, the safeguards being put into place to try to avoid similar crises in the future, and the limitations of those safeguards."-- Provided by publisher. |
| Bibliography note | Includes bibliographical references. |
| Issued in other form | Print version: Systemic risk in the financial sector. Waterloo, Ontario : Centre for International Governance Innovation, 2019 1928096883 9781928096887 |
| Genre/form | Electronic books. |
| Genre/form | Electronic books. |
| ISBN | 9781928096900 (ePUB) |
| ISBN | 9781928096917 (ePDF) |
| ISBN | 1928096905 (ePUB) |
| ISBN | 1928096913 (ePDF) |
| Stock number | 22573/ctvqjfzt2 JSTOR |
Availability
| Library | Location | Call Number | Status | Item Actions |
|---|---|---|---|---|
| Electronic Resources | Access Content Online | ✔ Available |