The Handbook of Global Shadow Banking, Volume I : From Policy to Regulation / by Luc Nijs
Publisher | (Cham : Springer International Publishing : Imprint: Palgrave Macmillan) |
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Year | 2020 |
Edition | 1st ed. 2020. |
Authors | *Nijs, Luc author SpringerLink (Online service) |
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Links to the text | Location | Volume | Call No. | Barcode No. | Status | Comments | ISBN | Printed | Restriction | Reserve |
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Links to the text | Library Off-campus access |
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OB00174477 | Springer Economics and Finance eBooks (電子ブック) | 9783030347437 |
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Material Type | E-Book |
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Media type | 機械可読データファイル |
Size | XXV, 800 p : online resource |
Notes | 1. Introduction -- 2. The Typology of Shadow Banking -- 3. Financial Intermediation: A Further Analysis -- 4. Securities Lending and Repos -- 5. Central Counterparties and Systemic Risk -- 6. Identifying Non-bank, Non-insurer Global Systemically Important Financial Institutions -- 7.The Policy Train Chasing Shadow Banking -- 8. From Policy to Regulation -- 9. What If Things Still Go Wrong: The Quest for Optimal Resolution Regimes and Policies -- 10. Money Market Funds and Reform -- 11. Taxing (Shadow) Banks: A Pigovian Model -- 12. An Interim Conclusion: Shadow Banking as Market-Based Financing This global handbook provides an up-to-date and comprehensive overview of shadow banking, or market-based finance as it has been recently coined. Engaging in financial intermediary services outside of normal regulatory parameters, the shadow banking sector was arguably a critical factor in causing the 2007-2009 financial crisis. This volume focuses specifically on shadow banking activities, risk, policy and regulatory issues. It evaluates the nexus between policy design and regulatory output around the world, paying attention to the concept of risk in all its dimensions—the legal, financial, market, economic and monetary perspectives. Particular attention is given to spillover risk, contagion risk and systemic risk and their positioning and relevance in shadow banking activities. Newly introduced and incoming policies are evaluated in detail, as well as how risk is managed, observed and assessed, and how new regulation can potentially create new sources of risk. Volume I concludes with analysis of what will and still needs to happen in the event of another crisis. Proposing innovative suggestions for improvement, including a novel Pigovian tax to tame financial and systemic risks, this handbook is a must-read for professionals and policy-makers within the banking sector, as well as those researching economics and finance HTTP:URL=https://doi.org/10.1007/978-3-030-34743-7 |
Subjects | LCSH:Financial services industry LCSH:Financial risk management LCSH:Finance LCSH:History FREE:Financial Services FREE:Risk Management FREE:Financial History |
Classification | LCC:HG1501-3550 DC23:332.17 |
ID | 8000068472 |
ISBN | 9783030347437 |
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