Risk and Regulation in Euro Area Banks Risk and Regulation in Euro Area Banks
Palgrave Macmillan Studies in Banking and Financial Institutions

Risk and Regulation in Euro Area Banks

Completing the Banking Union

    • $129.99
    • $129.99

Publisher Description

Since the last financial crisis, much work has been undertaken to strengthen the ability to respond to distress in the EU financial system. However, reforms enacted since the Single Resolution Mechanism was created in July 2014 as part of the Banking Union initiated in 2012 mainly focused on non-performing loans, and the third pillar of the Banking Union, namely a European Deposit Insurance Scheme, has not been completed.
Against this backdrop, this book focuses on the reasons why the EU banking system continues to remain fragile. In particular, high stocks of non-performing loans in some countries, the Level 3 assets evaluation and high exposure of many banks to the debts of their own governments are among the major concerns. Secondly, the book discusses the completion of the public safety net for banks, including deposit insurance, which remains primarily at the national level. This creates scope for contagion from banking sector fragility to national sovereign debt distress. Of interest to banking researchers, academics and students, this book combines rigorous analysis of the regulatory framework and empirical investigation on EU banking system data to prove that market discipline and risk sharing should be viewed as complementary pillars of the Euro-area financial architecture rather than as substitutes, requiring a reformed institutional framework.

GENRE
Business & Personal Finance
RELEASED
2019
31 October
LANGUAGE
EN
English
LENGTH
171
Pages
PUBLISHER
Springer International Publishing
SELLER
Springer Nature B.V.
SIZE
4.7
MB

More Books Like This

OECD Economic Surveys: Euro Area 2014 OECD Economic Surveys: Euro Area 2014
2014
Global Financial Development Report 2019/2020 Global Financial Development Report 2019/2020
2019
Financial Crisis, Bank Behaviour and Credit Crunch Financial Crisis, Bank Behaviour and Credit Crunch
2015
Financial Markets in Central and Eastern Europe Financial Markets in Central and Eastern Europe
2004
Adapting to Financial Globalisation Adapting to Financial Globalisation
2005
Risks and Returns Risks and Returns
2017

Other Books in This Series

Risk Culture in Banking Risk Culture in Banking
2017
Operational Risk Management in Banks Operational Risk Management in Banks
2017
Commercial Banking in Transition Commercial Banking in Transition
2024
Adapting to Change Adapting to Change
2024
The Speculator of Financial Markets The Speculator of Financial Markets
2023
Financial Markets Efficiency and Economic Behaviour Financial Markets Efficiency and Economic Behaviour
2023