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MARC Record from Library of Congress

Record ID marc_loc_2016/BooksAll.2016.part39.utf8:156291112:5041
Source Library of Congress
Download Link /show-records/marc_loc_2016/BooksAll.2016.part39.utf8:156291112:5041?format=raw

LEADER: 05041cam a2200445 i 4500
001 2011924313
003 DLC
005 20150819074937.0
008 110302s2011 enka b 001 0 eng c
010 $a 2011924313
015 $aGBB143772$2bnb
016 7 $a015785711$2Uk
020 $a9780857933812 (hardbook)
020 $a0857933817 (hardbook)
020 $a9780857933829
020 $a0857933825
035 $a(OCoLC)ocn708327156
040 $aDLC$beng$cDLC$dYDXCP$dDEBSZ$dCDX$dNLE$dBWX$dWCL$dDEBBG$dNDL$dOCLCF$dOCLCQ$dUKMGB$dDLC
042 $apcc
050 00 $aHG1615.25$b.M36 2011
245 00 $aManaging risk in the financial system /$cedited by John Raymond LaBrosse, Patterson & LaBrosse Financial Consultants Ltd., Canada and Honorary Visiting Fellow, School of Law, University of Warwick, UK, Rodrigo Olivares-Caminal, Centre for Financial & Management Studies (SOAS), University of London, UK, Dalvinder Singh, School of Law, University of Warwick, UK.
260 $aCheltenham, UK ;$aNorthampton, MA :$bEdward Elgar,$c[2011]
300 $axlvi, 482 pages :$billustrations ;$c24 cm
336 $atext$btxt$2rdacontent
337 $aunmediated$bn$2rdamedia
338 $avolume$bnc$2rdacarrier
504 $aIncludes bibliographical references and index.
505 00 $tForeword: The 2010 Banking Law Symposium on Managing Systemic Risk /$rCharles Enoch --$tSpecial Address: The Deposit Insurer's Role in Transitioning from a Government Deposit Guarantee /$rJean Pierre Sabourin --$tPreface: It Has Been 'A Hard Day's Night' /$rJohn Raymond LaBrosse, Rodrigo Olivares-Caminal and Dalvinder Singh --$tInvestor Behaviour in the Period Before the 2007-08 Financial Crisis /$rRichard J. Rosen --$tThe Nature of Systemic Risk /$rJack Selody --$tThe Government as Guarantor of Last Resort: Benefits, Costs and the Case for Premium Charges /$rSebastian Schich --$tThe Troubled Asset Relief Program: Has Forbearance as Far as the Eye Can See Saved the US Economy? /$rGillian G.H. Garcia --$tWhy is the Canadian Banking System so Remarkably Stable? A Comparative Analysis with the US /$rJean Roy, Rima Turk-Ariss and Yenni Redjah --$tSystemic Contingent Claim Analysis--A Model Approach to Systemic Risk /$rDale F. Gray and Andreas A. Jobst --$tTax and the City: The UK's Proposals for a Bank Levy /$rJohn Snape --$tIceland's Financial Disaster and its Fiscal Impact /$rArnór Sighvatsson and Gunnar Gunnarsson --$tThe Greek Tragedy: Is There a Deus ex Machina? /$rIoannis Kokkoris, Rodrigo Olivares-Caminal and Kiriakos Papadakis --$tRestructuring a Nation's Debt /$rLee C. Buchheit and Mitu Gulati --$tFirm Stability and System Stability: The Regulatory Delusion /$rGeoffrey Wood with Ali Kabiri --$t'Living Wills': Putting the Caboose Before the Engine and Designing a Better Engine /$rGeorge G. Kaufman --$tFinding a Solution to the 'Too-Big-To-Fail' Problem /$rArthur E. Wilmarth, Jr. --$t'Too-Big-To-Fail'--Can Alternative Resolution Regimes Really Remedy Systemic Risk in Large Financial Institutions' Insolvency? /$rJens-Hinrich Binder --$tTo Divest or Not to Divest: That is the Question ... /$rIoannis Kokkoris --$tResolving Large Complex Financial Institutions Within and Across Jurisdictions /$rRobert R. Bliss and George G. Kaufman --$tFrom Consolidated Supervision to Consolidated Resolution /$rRosa M. Lastra and Rodrigo Olivares-Caminal --$tCreating an EU-Level Supervisor for Cross-border Banking Groups: Issues Raised by the US Experience with Dual Banking /$rLarry D. Wall, María J. Nieto and David G. Mayes --$tCapital and Liquidity Reform--A New Global Agenda /$rGeorge A. Walker --$tBasel II to Basel III: A Great Leap Forward? /$rImad Moosa --$tThe US Architecture of Bank Regulation and Supervision: Recent Reforms in their Historical Context /$rDalvinder Singh --$tAn Evaluation of the Canadian Financial Safety Net During the Global Financial Crisis /$rJohn Raymond LaBrosse and James F. McCollum --$tFinancial Safety Net Reform in Nigeria /$rGaniyu Ogunleye --$tIslamic Deposit Insurance System: The Malaysian Model /$rKhairuddin Hj Arshad --$tManaging Financial Risk: The Precautionary Principle and Protecting the Public Interest in the UK /$rJohn F. McEldowney.
650 0 $aAsset-liability management.
650 0 $aFinancial risk management.
650 7 $aAsset-liability management.$2fast$0(OCoLC)fst00819062
650 7 $aFinancial risk management.$2fast$0(OCoLC)fst01739657
650 07 $aKreditmarkt.$2gnd$0(DE-588)4073788-3
650 07 $aPortfoliomanagement.$2gnd$0(DE-588)4115601-8
650 07 $aRisikomanagement.$2gnd$0(DE-588)4121590-4
700 1 $aLaBrosse, John Raymond.
700 1 $aOlivares-Caminal, Rodrigo.
700 1 $aSingh, Dalvinder,$d1970-
856 4 $uhttp://digitool.hbz-nrw.de:1801/webclient/DeliveryManager?pid=4229310&custom_att_2=simple_viewer$xInhaltsverzeichnis
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