Author: Mr.William E. Alexander
Publisher: International Monetary Fund
ISBN: 9781557756657
Category : Business & Economics
Languages : en
Pages : 196
Book Description
Edited by William Alexander, Jeffrey M. Davis, Liam P. Ebrill, and Carl-Johan Lindgren, this volume discusses cross-country restructuring experiences building on the foundation laid by its predecessor Band Soundness and Macroeconomic Policy. It discusses broad principles and actions to guide policy makers in restructuring their banking systems.
Systemic Bank Restructuring and Macroeconomic Policy
Author: Mr.William E. Alexander
Publisher: International Monetary Fund
ISBN: 9781557756657
Category : Business & Economics
Languages : en
Pages : 196
Book Description
Edited by William Alexander, Jeffrey M. Davis, Liam P. Ebrill, and Carl-Johan Lindgren, this volume discusses cross-country restructuring experiences building on the foundation laid by its predecessor Band Soundness and Macroeconomic Policy. It discusses broad principles and actions to guide policy makers in restructuring their banking systems.
Publisher: International Monetary Fund
ISBN: 9781557756657
Category : Business & Economics
Languages : en
Pages : 196
Book Description
Edited by William Alexander, Jeffrey M. Davis, Liam P. Ebrill, and Carl-Johan Lindgren, this volume discusses cross-country restructuring experiences building on the foundation laid by its predecessor Band Soundness and Macroeconomic Policy. It discusses broad principles and actions to guide policy makers in restructuring their banking systems.
Financial Stability Issues:The Case of East Asia
Author: Mamiko Yokoi-Arai
Publisher: Kluwer Law International B.V.
ISBN: 9041198784
Category : Law
Languages : en
Pages : 396
Book Description
Whatever can be said about the financial crises that have plagued East Asian countries since the early 1990s, it must be averred that they teach us a great deal. Many earlier assumptions about finance and investment have been called into question, and the field is more open than it has been in many decades to legal and economic analysis and theory. In particular, issues of financial sector reform have come into sharp focus. Here is a new proposal, solidly grounded in current reality, for a regional "zone of law" designed to supplement and benefit domestic reforms under way in Japan and the three emerging economies of Indonesia, South Korea, and Thailand. The author draws on a wide range of relevant material, including exploration of international standards and "best practices" in banking and finance, the experience of the U.S. and the U.K. in planning and implementing reform measures, and the theoretical literature respecting financial crises and what causes them. In this context, the specific reforms applied in the four Asian countries under consideration are discussed in detail, with "lessons to be learned" about crisis detection, containment, and prevention. During the course of the analysis, the author reveals fundamental policy areas where meaningful and effective reform can take place. Financial Stability Issues: The Case of East Asia offers numerous practical applications at the same time as it strikes a rich vein of theory in the field. Its fresh, sensible approach will be greatly appreciated, not only by academic theorists, but by hardheaded business people, policymakers, and regulators as well.
Publisher: Kluwer Law International B.V.
ISBN: 9041198784
Category : Law
Languages : en
Pages : 396
Book Description
Whatever can be said about the financial crises that have plagued East Asian countries since the early 1990s, it must be averred that they teach us a great deal. Many earlier assumptions about finance and investment have been called into question, and the field is more open than it has been in many decades to legal and economic analysis and theory. In particular, issues of financial sector reform have come into sharp focus. Here is a new proposal, solidly grounded in current reality, for a regional "zone of law" designed to supplement and benefit domestic reforms under way in Japan and the three emerging economies of Indonesia, South Korea, and Thailand. The author draws on a wide range of relevant material, including exploration of international standards and "best practices" in banking and finance, the experience of the U.S. and the U.K. in planning and implementing reform measures, and the theoretical literature respecting financial crises and what causes them. In this context, the specific reforms applied in the four Asian countries under consideration are discussed in detail, with "lessons to be learned" about crisis detection, containment, and prevention. During the course of the analysis, the author reveals fundamental policy areas where meaningful and effective reform can take place. Financial Stability Issues: The Case of East Asia offers numerous practical applications at the same time as it strikes a rich vein of theory in the field. Its fresh, sensible approach will be greatly appreciated, not only by academic theorists, but by hardheaded business people, policymakers, and regulators as well.
Bank Soundness and Macroeconomic Policy
Author: Mr.Carl-Johan Lindgren
Publisher: International Monetary Fund
ISBN: 9781557755995
Category : Business & Economics
Languages : en
Pages : 236
Book Description
Banking sector problems have plagued over 130 of the IMF's member countries since 1980. Developing and industrial market economies alike have been affected, as have all the economies in transition. This volume, by Carl-Johan Lindgren, Gillian Garcia, and Matthew I. Saal, discusses the linkages between macroeconomic policy and bank soundness. It takes a global view of the causes and consequences of banking sector problems and discussses how the banking system can be strengthened, nationally and internationally.
Publisher: International Monetary Fund
ISBN: 9781557755995
Category : Business & Economics
Languages : en
Pages : 236
Book Description
Banking sector problems have plagued over 130 of the IMF's member countries since 1980. Developing and industrial market economies alike have been affected, as have all the economies in transition. This volume, by Carl-Johan Lindgren, Gillian Garcia, and Matthew I. Saal, discusses the linkages between macroeconomic policy and bank soundness. It takes a global view of the causes and consequences of banking sector problems and discussses how the banking system can be strengthened, nationally and internationally.
Economic Perspectives
Author:
Publisher:
ISBN:
Category : Banks and banking
Languages : en
Pages : 456
Book Description
Publisher:
ISBN:
Category : Banks and banking
Languages : en
Pages : 456
Book Description
Regional Institutionalization
Author: Mamiko Yokoi-Arai
Publisher:
ISBN:
Category : Banks and banking, International
Languages : en
Pages : 92
Book Description
Publisher:
ISBN:
Category : Banks and banking, International
Languages : en
Pages : 92
Book Description
New England Economic Review
Author:
Publisher:
ISBN:
Category : New England
Languages : en
Pages : 524
Book Description
Publisher:
ISBN:
Category : New England
Languages : en
Pages : 524
Book Description
The New Financial Architecture
Author: Benton E. Gup
Publisher: Bloomsbury Publishing USA
ISBN: 031300451X
Category : Business & Economics
Languages : en
Pages : 282
Book Description
Bank failures, crises, global banking, megamergers, changes in technology—the effect of these world events is to weaken existing methods of regulating bank safety and soundness, and even to make some methods ineffective. Federal regulators are evaluating new ways to solve them. Dr. Gup and his panel of academics and regulatory professionals explore these problems and the difficulties in implementing solutions. They point out that global banking, megamergers, and changes in technology are drastically altering the way financial services are delivered. They also argue that existing methods of bank regulation, formulated in the United States and elsewhere as early as the 19th century, are not able to cope with these changes. The search now underway for new methods that are global in scope. Inevitably, they will involve cross-border supervision and international cooperation. Covering a wide range of topics, from the rationale of banking regulation to optimal banking regulation in the new world environments, this book examines the innovative tools needed to cope with these problems. Greater reliance on market discipline; the use of internal controls based on statistical models, such as Value-at-Risk; and subordinated debt are discussed. This timely, probing analysis of one of the hottest topics in bank regulation today, is an important resource for professionals and their academic colleagues in the fields of banking, finance, investment, and world trade.
Publisher: Bloomsbury Publishing USA
ISBN: 031300451X
Category : Business & Economics
Languages : en
Pages : 282
Book Description
Bank failures, crises, global banking, megamergers, changes in technology—the effect of these world events is to weaken existing methods of regulating bank safety and soundness, and even to make some methods ineffective. Federal regulators are evaluating new ways to solve them. Dr. Gup and his panel of academics and regulatory professionals explore these problems and the difficulties in implementing solutions. They point out that global banking, megamergers, and changes in technology are drastically altering the way financial services are delivered. They also argue that existing methods of bank regulation, formulated in the United States and elsewhere as early as the 19th century, are not able to cope with these changes. The search now underway for new methods that are global in scope. Inevitably, they will involve cross-border supervision and international cooperation. Covering a wide range of topics, from the rationale of banking regulation to optimal banking regulation in the new world environments, this book examines the innovative tools needed to cope with these problems. Greater reliance on market discipline; the use of internal controls based on statistical models, such as Value-at-Risk; and subordinated debt are discussed. This timely, probing analysis of one of the hottest topics in bank regulation today, is an important resource for professionals and their academic colleagues in the fields of banking, finance, investment, and world trade.
The Fed in Print
Author:
Publisher:
ISBN:
Category : Business
Languages : en
Pages : 410
Book Description
Publisher:
ISBN:
Category : Business
Languages : en
Pages : 410
Book Description
Economic Quarterly
Author:
Publisher:
ISBN:
Category : Economics
Languages : en
Pages : 404
Book Description
Publisher:
ISBN:
Category : Economics
Languages : en
Pages : 404
Book Description
Corporate Governance in Banking and Finance
Author: Y. R. K. Reddy
Publisher:
ISBN:
Category : Banks and banking
Languages : en
Pages : 338
Book Description
Compilaton of articles presented at a conference with reference to India.
Publisher:
ISBN:
Category : Banks and banking
Languages : en
Pages : 338
Book Description
Compilaton of articles presented at a conference with reference to India.