Systemic risk and macroprudential regulations : global financial crisis and thereafter / Rabi N. Mishra.
Material type:
TextPublisher: Thousand Oaks : SAGE Publications India Pvt Ltd, [2019]Description: 1 online resource (347 p.)ISBN: - 9353285437
- 9789353285432
- 339.5 23
- HB3717 2008-2009 .M57 2019
| Item type | Current library | Collection | Call number | Status | Date due | Barcode | Item holds | |
|---|---|---|---|---|---|---|---|---|
eBook
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e-Library | EBSCO Business | Available |
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