Norges Bank Financial Stability Conference "Government intervention and moral hazard in the financial sector"
We invite academic research papers closely related to the following issues: • How severe are moral hazard problems caused by government rescue operations, and how can these problems be mitigated? • How can the government strike the right balance between limiting the immediate costs of a financial crisis and minimizing the longer term moral hazard? • Possible implication of state aid on corporate governance • Banks bankruptcy or resolution procedures and risk-taking incentives • Can we define a “systemically important” financial institution? • What kind of crisis resolution regime should or could be in place for systemically important institutions? • Should there be special regulatory requirements for systemically important financial institutions? • Is discretionary-regulatory intervention at systemically important institutions a preferable alternative to fixed rules? • Macroprudential versus microprudential approach to financial stability.
|Event dates:||2010-09-02 – 2010-09-03|
|Deadline Call for Papers:||2010-03-31|
|Classification:||E5 - Monetary Policy, Central Banking and the Supply of Money and Credit ; G1 - General Financial Markets ; G2 - Financial Institutions and Services ; G3 - Corporate Finance and Governance|
|Event type:||Konferenzen, Tagungen; Conferences|
Persistent link: https://www.econbiz.de/10005877048