Extent: | X, 308 S. graph. Darst., Kt. |
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Type of publication: | Book / Working Paper |
Language: | English |
Notes: | Includes bibliographical references Contents; Preface and Acknowledgments; General Introduction and Outline of the Book; References; PART 1. WHY ARE THERE SO MANY BANKING CRISES?; Chapter 1. Why Are There So Many Banking Crises?; PART 2. THE LENDER OF LAST RESORT; Chapter 2. Coordination Failures and the Lender of Last Resort: Was Bagehot Right After All?; Chapter 3. The Lender of Last Resort: A Twenty-First-Century Approach; PART 3. PRUDENTIAL REGULATION AND THE MANAGEMENT OF SYSTEMIC RISK; Chapter 4. Macroeconomic Shocks and Banking Supervision; Chapter 5. Interbank Lending and Systemic Risk Chapter 6. Controlling Risk in Payment SystemsChapter 7. Systemic Risk, Interbank Relations, and the Central Bank; PART 4. SOLVENCY REGULATIONS; Chapter 8. Capital Requirements and the Behavior of Commercial Banks; Chapter 9. Rebalancing the Three Pillars of Basel II; Chapter 10. The Three Pillars of Basel II: Optimizing the Mix |
ISBN: | 978-0-691-13146-7 ; 978-1-4008-2831-9 ; 978-0-691-13146-7 |
Classification: | Geld, Inflation, Kapitalmarkt |
Source: | ECONIS - Online Catalogue of the ZBW |
Persistent link: https://www.econbiz.de/10012683274