The Regulation of Systemically Relevant Banks How Governments Should Manage Their Exposure to Banking System Risk /

Sebastian Moenninghoff provides an extensive overview of the status of the 'Too-Big-to-Fail' doctrine post-crisis and develops the first comprehensive framework to categorize and discuss the full range of major policy options for regulating banks. Governments need to actively manage their...

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Κύριος συγγραφέας: Moenninghoff, Sebastian C. (Συγγραφέας, http://id.loc.gov/vocabulary/relators/aut)
Συγγραφή απο Οργανισμό/Αρχή: SpringerLink (Online service)
Μορφή: Ηλεκτρονική πηγή Ηλ. βιβλίο
Γλώσσα:English
Έκδοση: Wiesbaden : Springer Fachmedien Wiesbaden : Imprint: Springer Gabler, 2018.
Έκδοση:1st ed. 2018.
Σειρά:Finanzwirtschaft, Banken und Bankmanagement I Finance, Banks and Bank Management,
Θέματα:
Διαθέσιμο Online:Full Text via HEAL-Link
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245 1 4 |a The Regulation of Systemically Relevant Banks   |h [electronic resource] :  |b How Governments Should Manage Their Exposure to Banking System Risk /  |c by Sebastian C. Moenninghoff. 
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264 1 |a Wiesbaden :  |b Springer Fachmedien Wiesbaden :  |b Imprint: Springer Gabler,  |c 2018. 
300 |a XIX, 170 p. 23 illus., 6 illus. in color.  |b online resource. 
336 |a text  |b txt  |2 rdacontent 
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490 1 |a Finanzwirtschaft, Banken und Bankmanagement I Finance, Banks and Bank Management,  |x 2524-6429 
505 0 |a Comprehensive Review of the Post-Crisis Status of the 'Too-Big-to-Fail' Doctrine -- Novel Quantitative Framework to Categorize and Discuss the Full Range of Major Policy Options for Bank Regulation -- Empirical Examination of the New International Regulation Dealing with Global Systemically Important Banks. 
520 |a Sebastian Moenninghoff provides an extensive overview of the status of the 'Too-Big-to-Fail' doctrine post-crisis and develops the first comprehensive framework to categorize and discuss the full range of major policy options for regulating banks. Governments need to actively manage their exposure to banking system risk with the optimal policy mix depending on risk return preferences of a society and an economy's institutional setting. The new regulation for global systemically important banks developed by international regulators following the financial crisis is a significant step in expanding the tools to manage government exposure to banking system risk. Contents Comprehensive Review of the Post-Crisis Status of the 'Too-Big-to-Fail' Doctrine Novel Quantitative Framework to Categorize and Discuss the Full Range of Major Policy Options for Bank Regulation Empirical Examination of the New International Regulation Dealing with Global Systemically Important Banks Target Groups Researchers and students in the fields of economics with a focus on finance and banking Practitioners in the fields of financial services, banking, regulation, politics, and journalism The Author Sebastian Moenninghoff works in the financial services industry in New York. He has extensive experience advising financial institutions in the U.S. and Europe during and after the financial crisis and has published and taught on banking regulation and financial innovation. 
650 0 |a Banks and banking. 
650 0 |a Economic policy. 
650 0 |a Risk management. 
650 1 4 |a Banking.  |0 http://scigraph.springernature.com/things/product-market-codes/626010 
650 2 4 |a Economic Policy.  |0 http://scigraph.springernature.com/things/product-market-codes/W34010 
650 2 4 |a Risk Management.  |0 http://scigraph.springernature.com/things/product-market-codes/612040 
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776 0 8 |i Printed edition:  |z 9783658238100 
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830 0 |a Finanzwirtschaft, Banken und Bankmanagement I Finance, Banks and Bank Management,  |x 2524-6429 
856 4 0 |u https://doi.org/10.1007/978-3-658-23811-7  |z Full Text via HEAL-Link 
912 |a ZDB-2-ECF 
950 |a Economics and Finance (Springer-41170)