Systemic Risk Systemic Risk

Systemic Risk

History, Measurement and Regulation

    • US$69.99
    • US$69.99

출판사 설명

Systemic Risk: History, Measurement and Regulation presents an overview of this emerging form of risk from a global perspective. Systemic risks endanger entire financial systems, not just individual financial institutions. In this volume, the authors review how systemic risk has evolved over the last 40 years across continents to come to the forefront of regulatory attention. They then discuss transmissions channels, provide a review of systemic risk measures, and describe new regulations that have been introduced, as well as the theory and practice of financial stability committees that have been set up internationally. Overall, the book provides a practical guide to understand, identify, assess and control systemic risk.

While the financial research on systemic risk has strongly increased since the events of 2008, this book is a first in providing a detailed yet concise overview of the topic, covering the history of systemic risk, its measurement, and its regulation. The authors provide both academic and practitioner-oriented insights, and draw on their different regions of expertise to provide a global perspective on systemic risk.
Contents: History:Major Systemic Crises Across Continents at the End of the 20th CenturyMajor Systemic Crises in the 21st CenturyCommon Features in the History of Systemic CrisesMeasurement:Defining Systemic RiskCharacterizing Systemic RiskMain Systemic Risk MeasuresSystemic Risk Around the WorldRegulation:Justifying Prudential RegulationPrudential PerspectivesInstitutional Frameworks for Financial Stability
Readership: Graduate and research level students and practitioners of financial mathematics and risk. Systemic Risk;Financial Stability;Financial Regulation;Macro-Prudential Regulation;Transmission Channels;Global Financial Crisis;Risk Measurement;Cross-sectional Risk0Key Features:A practical guide to understand, identify, assess and control systemic riskA global perspectiveA detailed treatment of theory, practice and regulation

장르
비즈니스 및 개인 금융
출시일
2019년
6월 4일
언어
EN
영어
길이
196
페이지
출판사
World Scientific Publishing Company
판매자
Ingram DV LLC
크기
3.1
MB
Dealing with the Challenges of Macro Financial Linkages in Emerging Markets Dealing with the Challenges of Macro Financial Linkages in Emerging Markets
2013년
Macroprudential Policy and Practice Macroprudential Policy and Practice
2018년
The Role of Central Banks in Financial Stability : How Has It Changed? The Role of Central Banks in Financial Stability : How Has It Changed?
2013년
The Social Value of the Financial Sector :Too Big to Fail or Just Too Big? The Social Value of the Financial Sector :Too Big to Fail or Just Too Big?
2013년
The Changing Fortunes of Central Banking The Changing Fortunes of Central Banking
2018년
Global Financial Development Report 2019/2020 Global Financial Development Report 2019/2020
2019년