Handbook of Safeguarding Global Financial Stability Book

Handbook of Safeguarding Global Financial Stability


  • Author : Gerard Caprio
  • Publisher : Academic Press
  • Release Date : 2012-09-01
  • Genre: Business & Economics
  • Pages : 754
  • ISBN 10 : 9780123978752

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Handbook of Safeguarding Global Financial Stability Excerpt :

Political and social forces exert pressure on our globalized economy in many forms, from formal and informal policies to financial theories and technical models. Our efforts to shape and direct these forces to preserve financial stability reveal much about the ways we perceive the financial economy. The Handbook of Safeguarding Global Financial Stability examines our political economy, particularly the ways in which these forces inhabit our institutions, strategies, and tactics. As economies expand and contract, these forces also determine the ways we supervise and regulate. This high-level examination of the global political economy includes articles about specific countries, crises, and international systems as well as broad articles about major concepts and trends.. Substantial articles by top scholars sets this volume apart from other information sources Diverse international perspectives result in new opportunities for analysis and research Rapidly developing subjects will interest readers well into the future

Handbooks in Financial Globalization  3 Volume Set Book

Handbooks in Financial Globalization 3 Volume Set


  • Author : Gerard Caprio
  • Publisher : Academic Press
  • Release Date : 2012-11-16
  • Genre: Business & Economics
  • Pages : 2188
  • ISBN 10 : 0124072267

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Handbooks in Financial Globalization 3 Volume Set Excerpt :

These three volumes present the full complexity of the history, practices, and outlook of 21st century global financial integration. The Handbook of Key Global Financial Markets, Institutions, and Infrastructure explores the growth of markets, intermediaries, rights, practices, and standards worldwide. The Evidence and Impact of Financial Globalization devotes separate articles to specific crises, the conditions that cause them, and the longstanding arrangements devised to address them. The Handbook of Safeguarding Global Financial Stability examines our political economy, particularly the ways in which formal and informal policies as well as financial theories and technical models inhabit our institutions, strategies, and tactics. For those seeking substantial, authoritative descriptions and summaries, these volumes will replace books, journals, and other information sources with a coherent, easy-to-use reference work. Reveals and analyzes examples of financial integration in both triumph and crisis Features international perspectives on strategies and tactics for resolving crises Concentrates on economic and financial topics without introducing broader cultural subjects

Handbook of Safeguarding Global Financial Stability Book

Handbook of Safeguarding Global Financial Stability


  • Author : Anonim
  • Publisher : Academic Press
  • Release Date : 2012-12-31
  • Genre: Business & Economics
  • Pages : 754
  • ISBN 10 : 9780123978783

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Handbook of Safeguarding Global Financial Stability Excerpt :

Political and social forces exert pressure on our globalized economy in many forms, from formal and informal policies to financial theories and technical models. Our efforts to shape and direct these forces to preserve financial stability reveal much about the ways we perceive the financial economy. The Handbook of Safeguarding Global Financial Stability examines our political economy, particularly the ways in which these forces inhabit our institutions, strategies, and tactics. As economies expand and contract, these forces also determine the ways we supervise and regulate. This high-level examination of the global political economy includes articles about specific countries, crises, and international systems as well as broad articles about major concepts and trends.. Substantial articles by top scholars sets this volume apart from other information sources Diverse international perspectives result in new opportunities for analysis and research Rapidly developing subjects will interest readers well into the future

Safeguarding Financial Stability Book

Safeguarding Financial Stability


  • Author : Mr.Garry J. Schinasi
  • Publisher : International Monetary Fund
  • Release Date : 2005-12-12
  • Genre: Business & Economics
  • Pages : 330
  • ISBN 10 : 1589064402

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Safeguarding Financial Stability Excerpt :

How is finance related to economic processes, and why should it be viewed as a public good requiring policy action? This book provides an answer. The book develops a practical framework for safeguarding financial stability, which encompasses both prevention and resolution of problems. It also examines on-going and future challenges to financial stability posed by globalization, a growing reliance on derivatives and their markets, and the capital market activities of insurers and reinsurers.

The Evidence and Impact of Financial Globalization Book

The Evidence and Impact of Financial Globalization


  • Author : Anonim
  • Publisher : Academic Press
  • Release Date : 2012-12-31
  • Genre: Business & Economics
  • Pages : 800
  • ISBN 10 : 9780124058996

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The Evidence and Impact of Financial Globalization Excerpt :

The sharp realities of financial globalization become clear during crises, when winners and losers emerge. Crises usher in short- and long-term changes to the status quo, and everyone agrees that learning from crises is a top priority. The Evidence and Impact of Financial Globalization devotes separate articles to specific crises, the conditions that cause them, and the longstanding arrangements devised to address them. While other books and journal articles treat these subjects in isolation, this volume presents a wide-ranging, consistent, yet varied specificity. Substantial, authoritative, and useful, these articles provide material unavailable elsewhere. Substantial articles by top scholars sets this volume apart from other information sources Rapidly developing subjects will interest readers well into the future Reader demand and lack of competitors underline the high value of these reference works

Paving the Way to Sustained Growth and Prosperity in Central America  Panama  and the Dominican Republic Book

Paving the Way to Sustained Growth and Prosperity in Central America Panama and the Dominican Republic


  • Author : Ms.Kimberly Beaton
  • Publisher : International Monetary Fund
  • Release Date : 2019-09-13
  • Genre: Business & Economics
  • Pages : 308
  • ISBN 10 : 9781484353844

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Paving the Way to Sustained Growth and Prosperity in Central America Panama and the Dominican Republic Excerpt :

Abstract: Accelerating economic growth in Central America, Panama and the Dominican Republic (CAPDR) remains an elusive task. While the region performed relatively well in the post-global financial crisis period, over the last five years obstacles to growth have become more evident and new challenges have emerged. In response, the region has strengthened macro-financial frameworks but more progress will be required to pave the way to sustained growth and prosperity. This book considers the structural factors underlying the region’s growth outlook and assesses its macroeconomic and financial challenges to help shape the policy agenda going forward. The book first identifies the structural determinants of growth in the region related to: capital formation; employment; demographic factors, including immigration; productivity; and violence. It then highlights the importance of creating fiscal space through the design and implementation of fiscal rules and mechanisms to increase accountability (better quality of public spending, adequate policies to reduce income inequality and sustainable retirement plans). Finally, it presents recent evidence on the importance of a supportive financial sector for growth (including through financial inclusion and development).

Understanding Financial Stability Book

Understanding Financial Stability


  • Author : Indranarain Ramlall
  • Publisher : Emerald Group Publishing
  • Release Date : 2018-12-14
  • Genre: Business & Economics
  • Pages : 168
  • ISBN 10 : 9781787568358

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Understanding Financial Stability Excerpt :

Understanding Financial Stability undertakes an in-depth analysis of all the issues related to financial stability. It establishes a general framework for a holistic assessment of financial stability, provides a comprehensive analysis pertaining to the genesis of financial crises and offers key terms embodied in financial stability.

Recognition of Foreign Bank Resolution Actions Book

Recognition of Foreign Bank Resolution Actions


  • Author : Guo, Shuai
  • Publisher : Edward Elgar Publishing
  • Release Date : 2022-02-15
  • Genre: Law
  • Pages : 352
  • ISBN 10 : 9781802200560

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Recognition of Foreign Bank Resolution Actions Excerpt :

This timely book offers a comprehensive study of the mechanism that gives effect to foreign bank resolution actions. In particular, it focuses on how the legal framework for the recognition of foreign bank resolution actions should be structured and proposes detailed legal principles on which effective frameworks should be based.

Managing Climate Risk in the U S  Financial System Book

Managing Climate Risk in the U S Financial System


  • Author : Leonardo Martinez-Diaz
  • Publisher : U.S. Commodity Futures Trading Commission
  • Release Date : 2020-09-09
  • Genre: Science
  • Pages : 196
  • ISBN 10 : 9780578748412

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Managing Climate Risk in the U S Financial System Excerpt :

This publication serves as a roadmap for exploring and managing climate risk in the U.S. financial system. It is the first major climate publication by a U.S. financial regulator. The central message is that U.S. financial regulators must recognize that climate change poses serious emerging risks to the U.S. financial system, and they should move urgently and decisively to measure, understand, and address these risks. Achieving this goal calls for strengthening regulators’ capabilities, expertise, and data and tools to better monitor, analyze, and quantify climate risks. It calls for working closely with the private sector to ensure that financial institutions and market participants do the same. And it calls for policy and regulatory choices that are flexible, open-ended, and adaptable to new information about climate change and its risks, based on close and iterative dialogue with the private sector. At the same time, the financial community should not simply be reactive—it should provide solutions. Regulators should recognize that the financial system can itself be a catalyst for investments that accelerate economic resilience and the transition to a net-zero emissions economy. Financial innovations, in the form of new financial products, services, and technologies, can help the U.S. economy better manage climate risk and help channel more capital into technologies essential for the transition. https://doi.org/10.5281/zenodo.5247742

Handbook of the International Political Economy of Monetary Relations Book

Handbook of the International Political Economy of Monetary Relations


  • Author : Thomas Oatley
  • Publisher : Edward Elgar Publishing
  • Release Date : 2014-06-27
  • Genre: Business & Economics
  • Pages : 512
  • ISBN 10 : 9780857938374

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Handbook of the International Political Economy of Monetary Relations Excerpt :

This extensive Handbook provides an in-depth exploration of the political economy dynamics associated with the international monetary and financial systems. Leading experts offer a fresh take on research into the interaction between system structure, t

The Lender of Last Resort Function after the Global Financial Crisis Book

The Lender of Last Resort Function after the Global Financial Crisis


  • Author : Marc Dobler
  • Publisher : International Monetary Fund
  • Release Date : 2016-01-22
  • Genre: Business & Economics
  • Pages : 63
  • ISBN 10 : 9781498355995

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The Lender of Last Resort Function after the Global Financial Crisis Excerpt :

The global financial crisis (GFC) has renewed interest in emergency liquidity support (sometimes referred to as “Lender of Last Resort”) provided by central banks to financial institutions and challenged the traditional way of conducting these operations. Despite a vast literature on the topic, central bank approaches and practices vary considerably. In this paper we focus on, for the most part, the provision of idiosyncratic support, approaching it from an operational perspective; highlighting different approaches adopted by central banks; and also identifying some of the issues that arose during the GFC.

Regulating and Combating Money Laundering and Terrorist Financing Book

Regulating and Combating Money Laundering and Terrorist Financing


  • Author : Nkechikwu Valerie Azinge-Egbiri
  • Publisher : Routledge
  • Release Date : 2021-03-01
  • Genre: Business & Economics
  • Pages : 344
  • ISBN 10 : 9781000351750

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Regulating and Combating Money Laundering and Terrorist Financing Excerpt :

This book analytically reviews the impact of the global anti-money laundering and counter-terrorist financing (AML/CFT) framework on the compliance trajectory of a number of jurisdictions to this framework. The work begins by examining the international financial sector reform and its evolution to inculcate the global framework for AML/CFT regulations. It challenges the resulting uniform AML/CFT due to its paradoxical impact on the compliance trajectory of African countries and emerging economies (ACs/EEs). This is done through an examination of the pre-conditions for effective regulation and compliance drivers for ACs/EEs that reveals the behavioural impact of the AML/CFT standards on the bloc of countries. Through the application of agency theory, it explores the relationship between ACs/EEs on the one hand and the international financial institutions that formulate, disseminate and facilitate compliance with the global framework for AML/CFT standards on the other. The remaining chapters review empirically the compliance pressures and resulting compliance trajectory of ACs/EEs with the AML/CFT standards. The final part of the book provides a detailed explanation of the compliance challenges of ACs/EEs and the legitimacy concerns that facilitate this. This book offers a new direction on the impact of global AML/CFT standards on ACs/EEs and contributes to the understanding of the conditions under which the global standards are likely to facilitate proactive compliance within these blocs of countries. As such it will be a valuable resource for academics, researchers and policy-makers working in this area.

Banking Regulation in Israel Book

Banking Regulation in Israel


  • Author : Ruth Plato-Shinar
  • Publisher : Kluwer Law International B.V.
  • Release Date : 2016-09-15
  • Genre: Law
  • Pages : 330
  • ISBN 10 : 9789041167927

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Banking Regulation in Israel Excerpt :

In the aftermath of the 2008 global financial crisis, many governments are seeking ways to improve their banking regulation systems in the interests of both economic health and consumer protection. Among the globally competitive countries that withstood the crisis with no significant disruption, Israel stands out, suggesting that other countries might benefit from an in-depth analysis of its banking system. This is the first book in English to provide such an analysis, emphasizing the crucial balance between prudential regulation and conduct of business regulation, which in Israel are both regulated by the same agency, unlike the ‘Twin Peaks’ model that prevails in other market-based economies. With recommendations that are highly applicable to many countries, the book examines a broad range of issues that are of current concern to the banking community worldwide. Among these issues are the following: – the architecture of financial regulation; – nationalization and privatization of banks; – conflicts of interest in the banking system resulting from universal banking; – problems of concentration and lack of competitiveness in the banking system; – the growing power of institutional investors and their entry into traditional banking activities; – mechanisms for recovery and resolution in the event of a bank failure; – new models of banking regulation, such as self-regulation and contractual regulation; and – bank consumer protection, complaint handling and redress. Even though the book focuses on Israeli banking regulation, its detailed attention to the development of a suitable supervisory model is of immeasurable international value for regulators, lawyers, bankers, academics, and business people who are in any way connected to the banking world; particularly following the 2008 crisis and its devastating effects. It is sure to be of service as many jurisdictions continue to search for optimal tools designed to prevent another such crisis.

Handbook of Key Global Financial Markets  Institutions  and Infrastructure Book

Handbook of Key Global Financial Markets Institutions and Infrastructure


  • Author : Gerard Caprio
  • Publisher : Academic Press
  • Release Date : 2013
  • Genre: Business & Economics
  • Pages : 611
  • ISBN 10 : 9780123978738

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Handbook of Key Global Financial Markets Institutions and Infrastructure Excerpt :

This title begins its description of how we created a financially-intergrated world by first examining the history of financial globalization, from Roman practices and Ottoman finance to Chinese standards, the beginnings of corporate practices, and the advent of efforts to safeguard financial stability.

Global Financial Stability Report  April 2013 Book

Global Financial Stability Report April 2013


  • Author : International Monetary Fund. Monetary and Capital Markets Department
  • Publisher : International Monetary Fund
  • Release Date : 2013-04-17
  • Genre: Business & Economics
  • Pages : 160
  • ISBN 10 : 9781475589580

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Global Financial Stability Report April 2013 Excerpt :

The Global Financial Stability Report examines current risks facing the global financial system and policy actions that may mitigate these. It analyzes the key challenges facing financial and nonfinancial firms as they continue to repair their balance sheets. Chapter 2 takes a closer look at whether sovereign credit default swaps markets are good indicators of sovereign credit risk. Chapter 3 examines unconventional monetary policy in some depth, including the policies pursued by the Federal Reserve, the Bank of England, the Bank of Japan, the European Central Bank, and the U.S. Federal Reserve.