Banking, financial markets, and systemic risk
著者
書誌事項
Banking, financial markets, and systemic risk
(Research in financial services : private and public policy, a research annual / editor, George G. Kaufman, v. 7)
JAI Press, c1995
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注記
Includes bibliographical references
内容説明・目次
内容説明
Part of a series which focuses on research into the financial services, this volume discusses a variety of topics in the fields of banking, financial markets and systemic risk.
目次
- Part 1 Overview of systemic risk: fundamentals of systemic risk, Philip J. Bartholomew and Gary W. Whalen
- systemic risk and the macroeconomy, Anna J. Schwartz
- comment on systemic risk, Frederic S. Mishtin
- comment on systemic risk, George G. Kaufman. Part 2 Sources and consequences of system risk: systemic risk - bank deposits and credit, Robert A. Eisenbeis
- payment and settlement systems- trends and risk management, Claudio Borio
- derivatives and systemic risk - issues, views and analysis, Robert J. Mackay
- comment on sources of risk, James R. Barth. Part 3 Transnational aspects: international aspects of systemic risk, Morris Goldstein
- systemic risk when depositors bear losses - five case studies, Herbert Baer and Daniela Klingbiel
- comment on transnational aspects, Daniel E. Nolle. Part 4 Addressing systemic risk: is systemic risk dead?, Richard S. Carnell
- systemic risk and the regulatory agencies, Susan M. Phillips
- regulatory responses to the potential for systemic risk in the financial sector, Mark J. Flannery
- missing entailments in public-policy definitions of systemic risk, Edward J. Kane. Part 5 Keynote address: rethinking systemic risk, Eugene A. Ludwig.
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