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Systemic risk and macroprudential regulations : global financial crisis and thereafter / Rabi N. Mishra.

By: Material type: TextTextPublisher: Thousand Oaks : SAGE Publications India Pvt Ltd, [2019]Description: 1 online resource (347 p.)ISBN:
  • 9353285437
  • 9789353285432
Subject(s): Genre/Form: Additional physical formats: Print version:: Systemic Risk and Macroprudential Regulations : Global Financial Crisis and ThereafterDDC classification:
  • 339.5 23
LOC classification:
  • HB3717 2008-2009 .M57 2019
Online resources:
Contents:
Post-crisis financial regulatory reform -- Strengthening capital and liquidity requirements -- Regulatory framework beyond capital and liquidity -- Managing systemic risk through macroprudential policy -- Macroprudential policy -- Early warning systems -- Stress testing programme -- Tools for macroprudential policy -- Managing financial crisis -- Financial crisis management framework -- Part iv- coordination in international policymaking -- Dynamics of international policy coordination -- New approaches to international policy coordination -- Macrofinancial policy coordination in the current milieu -- Epilogue: potential concerns for central banks -- Index -- About the author.
Intro; Sage history; Advance Praise; Halftitle page; Fulltitle page; Copyright page; Dedication page; Marketing page; Contents; List of Abbreviations; Foreword; Preface; Introduction; Part I: Post-crisis Financial Regulatory Reforms; 1 Strengthening Capital and Liquidity Requirements; 2 Regulatory Framework Beyond Capital and Liquidity; Part II: Managing Systemic Risk through Macroprudential Policy; 3 Macroprudential Policy; 4 Early Warning Systems; 5 Stress-Testing Programme; 6 Tools for Macroprudential Policy; Part III: Managing Financial Crisis; 7 Financial Crisis Management Framework
Part IV: Coordination in International Policymaking8 Dynamics of International Policy Coordination; 9 New Approaches to International Policy Coordination; 10 Macrofinancial Policy Coordination in the Current Milieu; Epilogue: Potential Concerns for Central Banks; Index; About the Author
Summary: Emphasizes 'systemic risk' as the new-found villain of the financial space and how macroprudential tools can aid in risk management
Holdings
Item type Current library Collection Call number Status Date due Barcode Item holds
eBook eBook e-Library EBSCO Business Available
Total holds: 0

Includes index.

Post-crisis financial regulatory reform -- Strengthening capital and liquidity requirements -- Regulatory framework beyond capital and liquidity -- Managing systemic risk through macroprudential policy -- Macroprudential policy -- Early warning systems -- Stress testing programme -- Tools for macroprudential policy -- Managing financial crisis -- Financial crisis management framework -- Part iv- coordination in international policymaking -- Dynamics of international policy coordination -- New approaches to international policy coordination -- Macrofinancial policy coordination in the current milieu -- Epilogue: potential concerns for central banks -- Index -- About the author.

Description based upon print version of record.

Intro; Sage history; Advance Praise; Halftitle page; Fulltitle page; Copyright page; Dedication page; Marketing page; Contents; List of Abbreviations; Foreword; Preface; Introduction; Part I: Post-crisis Financial Regulatory Reforms; 1 Strengthening Capital and Liquidity Requirements; 2 Regulatory Framework Beyond Capital and Liquidity; Part II: Managing Systemic Risk through Macroprudential Policy; 3 Macroprudential Policy; 4 Early Warning Systems; 5 Stress-Testing Programme; 6 Tools for Macroprudential Policy; Part III: Managing Financial Crisis; 7 Financial Crisis Management Framework

Part IV: Coordination in International Policymaking8 Dynamics of International Policy Coordination; 9 New Approaches to International Policy Coordination; 10 Macrofinancial Policy Coordination in the Current Milieu; Epilogue: Potential Concerns for Central Banks; Index; About the Author

Emphasizes 'systemic risk' as the new-found villain of the financial space and how macroprudential tools can aid in risk management

Master record variable field(s) change: 050, 082, 650

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