Record ID | harvard_bibliographic_metadata/ab.bib.13.20150123.full.mrc:711437462:3838 |
Source | harvard_bibliographic_metadata |
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LEADER: 03838cam a2200493Ii 4500
001 013658969-3
005 20130510112330.0
008 121030t20132013enk b 001 0 eng d
015 $aGBB2B2337$2bnb
016 7 $a016205992$2Uk
020 $a9781781004999 (hardback)
020 $a1781004994 (hardback)
020 $z9781781005002 (e-book)
020 $z1781005001 (e-book)
035 0 $aocn817265542
040 $aUKMGB$beng$erda$cUKMGB$dOCLCO$dYDXCP$dBTCTA$dCDX$dBWK$dGWL$dMH-L
043 $ae------
050 4 $aHB3722$b.F56 2013
082 04 $a338.542$223
245 00 $aFinancial crisis containment and government guarantees /$cedited by John Raymond LaBrosse, Rodrigo Olivares-Caminal, Dalvinder Singh.
264 1 $aCheltenham, UK ;$aNorthampton, MA, USA :$bEdward Elgar,$c[2013]
264 4 $c©2013
300 $axxxii, 256 pages :$billustrations ;$c25 cm
336 $atext$btxt$2rdacontent
337 $aunmediated$bn$2rdamedia
338 $avolume$bnc$2rdacarrier
505 00 $gForeword /$rby Joseph J. Norton --$gForeword /$rby Arthur E. Wilmarth, Jr. --$tManaging crises without government guarantees : how do we get there? /$rChristine M. Cumming --$tImproving the decision-making framework for financial crisis management /$rJohn Raymond LaBrosse and Dalvinder Singh --$tPowers and scope of the macro-prudential authority /$rCharles A.E. Goodhart --$tResolving systemically important financial institutions (SIFIs) : the Financial Stability Board key attributes of effective resolution regimes /$rEva Hüpkes --$tCrisis management and guarantees in Europe /$rCharles Enoch --$tRegulatory responses to the financial crisis /$rRosa M. Lastra --$tThe Federal Agency for Financial Market Stabilisation : from rescuing to restructuring /$rChristopher Pleister --$tExtraordinary measures for extraordinary times and the need for effective bank resolution laws in Europe /$rGillian G. Garcia and Maria J. Nieto --
505 00 $tThe fault lines in cross-border banking : lessons from the Icelandic case /$rMár Guðmundsson --$tGovernment guarantees and contingent capital : choosing good shock absorbers /$rDavid G. Mayes --$tPublic guarantees on bank bonds : effectiveness and distortions /$rGiusèppe Grande, Aviram Levy, Fabio Panetta and Andrea Zaghini --$tThe impact of sovereign guarantees on the quality of bank debt : theory and evidence from Europe /$rArturo Estrella and Sebastian Schich --$tAn insurance approach for preventing financial crises /$rMichael Faure and Klaus Heine --$tTransforming bailouts into investments : a proposal for the creation of the Federal Government Investment corporation /$rJeffrey Manns --$tThe treatment of contingent liabilities in a sovereign debt restructuring /$rLee C. Buchheit and Mitu Gulati --$tThe European stability mechanism : some notes on a new EU institution designed to avert financial creises /$rRodrigo Olivares-Caminal --
505 00 $tLiquidity spillovers in credit markets during the eurozone crisis /$rGiovanni Calice, Jing Chen, and Julian Williams.
504 $aIncludes bibliographical references and index.
650 0 $aFinancial crises.
650 0 $aFinancial crises$xGovernment policy.
650 0 $aFinancial risk management.
650 0 $aFinancial institutions$xLaw and legislation.
650 0 $aFinancial crises$zEurope.
650 0 $aFinancial crises$xGovernment policy$zEurope.
650 0 $aFinancial risk management$zEurope.
650 0 $aFinancial institutions$xLaw and legislation$zEurope.
650 0 $aGlobal Financial Crisis, 2008-2009.
700 1 $aLaBrosse, John Raymond,$eeditor of compilation,$econtributor.
700 1 $aOlivares-Caminal, Rodrigo,$eeditor of compilation,$econtributor.
700 1 $aSingh, Dalvinder,$d1970-$eeditor of compilation,$econtributor.
988 $a20130413
906 $0OCLC