Financial crisis containment and government guarantees

Financial crisis containment and government g ...
John Raymond LaBrosse, Rodrigo ...
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Last edited by MARC Bot
September 10, 2024 | History

Financial crisis containment and government guarantees

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Publish Date
Publisher
Edward Elgar
Language
English
Pages
256

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Book Details


Table of Contents

Foreword / -- by Joseph J. Norton -- Foreword / -- by Arthur E. Wilmarth, Jr.
Managing crises without government guarantees : how do we get there? -- Christine M. Cumming
Improving the decision-making framework for financial crisis management -- John Raymond LaBrosse and Dalvinder Singh
Powers and scope of the macro-prudential authority -- Charles A.E. Goodhart
Resolving systemically important financial institutions (SIFIs) : the Financial Stability Board key attributes of effective resolution regimes -- Eva Hüpkes
Crisis management and guarantees in Europe -- Charles Enoch
Regulatory responses to the financial crisis -- Rosa M. Lastra
The Federal Agency for Financial Market Stabilisation : from rescuing to restructuring -- Christopher Pleister
Extraordinary measures for extraordinary times and the need for effective bank resolution laws in Europe -- Gillian G. Garcia and Maria J. Nieto
The fault lines in cross-border banking : lessons from the Icelandic case -- Már Guðmundsson
Government guarantees and contingent capital : choosing good shock absorbers -- David G. Mayes
Public guarantees on bank bonds : effectiveness and distortions -- Giusèppe Grande, Aviram Levy, Fabio Panetta and Andrea Zaghini
The impact of sovereign guarantees on the quality of bank debt : theory and evidence from Europe -- Arturo Estrella and Sebastian Schich
An insurance approach for preventing financial crises -- Michael Faure and Klaus Heine
Transforming bailouts into investments : a proposal for the creation of the Federal Government Investment corporation -- Jeffrey Manns
The treatment of contingent liabilities in a sovereign debt restructuring -- Lee C. Buchheit and Mitu Gulati
The European stability mechanism : some notes on a new EU institution designed to avert financial creises -- Rodrigo Olivares-Caminal
Liquidity spillovers in credit markets during the eurozone crisis -- Giovanni Calice, Jing Chen, and Julian Williams.

Edition Notes

Includes bibliographical references and index.

Published in
Cheltenham, UK, Northampton, MA, USA
Copyright Date
2013

Classifications

Dewey Decimal Class
338.542
Library of Congress
HB3722 .F5275 2013, HB3722, HB3711 .F56 2013, HB3722 .F56 2013

The Physical Object

Pagination
xxxii, 256 pages
Number of pages
256

ID Numbers

Open Library
OL31110510M
ISBN 10
1781004994, 1781005001
ISBN 13
9781781004999, 9781781005002
LCCN
2012947335
OCLC/WorldCat
817265542

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History

Download catalog record: RDF / JSON / OPDS | Wikipedia citation
September 10, 2024 Edited by MARC Bot import existing book
December 21, 2022 Edited by MARC Bot import existing book
June 17, 2022 Edited by ImportBot import existing book
September 18, 2021 Edited by ImportBot import existing book
November 13, 2020 Created by MARC Bot Imported from Library of Congress MARC record