The Limits of Surveillance and Financial Market Failure: Lessons from the Euro-Area Crisis

Author:   K. Shigehara
Publisher:   Palgrave Macmillan
ISBN:  

9781137471468


Pages:   226
Publication Date:   15 December 2014
Format:   Hardback
Availability:   In Print   Availability explained
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The Limits of Surveillance and Financial Market Failure: Lessons from the Euro-Area Crisis


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Overview

This book examines the effectiveness of surveillance by international institutions for financial crisis prevention. It discusses issues relating to designing effective micro- and macro-prudential policies, their mixes and their coordination with monetary policies for achieving financial stability while promoting better macroeconomic performance.

Full Product Details

Author:   K. Shigehara
Publisher:   Palgrave Macmillan
Imprint:   Palgrave Macmillan
Dimensions:   Width: 14.00cm , Height: 2.00cm , Length: 21.60cm
Weight:   4.091kg
ISBN:  

9781137471468


ISBN 10:   1137471468
Pages:   226
Publication Date:   15 December 2014
Audience:   Professional and scholarly ,  Professional & Vocational
Format:   Hardback
Publisher's Status:   Active
Availability:   In Print   Availability explained
This item will be ordered in for you from one of our suppliers. Upon receipt, we will promptly dispatch it out to you. For in store availability, please contact us.

Table of Contents

Introduction; Kumiharu Shigehara 1. The Limits of Surveillance and Financial Market Failure; Kumiharu Shigehara 2. Global and Regional Surveillance; Andre Icard 3. Surveillance Failure or Systemic Failure?; Lelf Pagrotsky 4. The Role of Surveillance; Val Kromzay 5. Beyond Surveillance: Reducing the Risk of Financial Crises; Paul Atkinson 6. How Should Micro-Prudential Control be Strengthened to Prevent Local and Global Financial Market Failure?; Jeffrey Shafer 7. Financial Market Failures and their Remedies; Carol Sirou 8. On the Connection between Monetary Policy and Regulation of Banking and Financial Markets; Stephen Axilrod 9. Macro-Prudential Policy and Bank Systemic Risk; Blundell-Wignall and Caroline Roulet 10. Risk, Reward and Bank Resilience; Charles Goodhart 11. Can Europe Get its Political Act Together? Alternative Scenarios for the Euro Area; William White 12. More Effective Management of the Euro-Area; Gunter Baer 13. Executive Summary; Robert Price 14. Overview Report; Robert Price and Nicholas Vanston

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Author Information

Paul E. Atkinson, International Economic Policy Studies Association, USA Stephen H. Axilrod, Consultant, USA Gunter D. Baer, Consultant, Germany Adrian Blundell-Wignall, OECD, Australia Charles A.E. Goodhart, London School of Economics, UK André Icard, Prudential Supervision and Resolution Authority, France Val Koromzay, Consultant, USA Leif Pagrotsky, Consultant, Sweden Robert W.R. Price, International Economic Policy Studies Association, UK Caroline Roulet, OECD, France Jeffrey R. Shafer, Consultant, USA Carol Sirou, Standard & Poor's, France Nicholas J. Vanston, International Economic Policy Studies Association, UK William R. White, OECD, France

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