Jump to ContentJump to Main Navigation

You are looking at 1-3 of 3 items for:

  • Keywords: financial firms x
  • Economics and Finance x
Clear All Modify Search

View:

How to Calculate Systemic Risk Surcharges

Viral V. Acharya, Lasse H. Pedersen, Thomas Philippon, and Matthew Richardson

in Quantifying Systemic Risk

Published in print:
2013
Published Online:
September 2013
ISBN:
9780226319285
eISBN:
9780226921969
Item type:
chapter
Publisher:
University of Chicago Press
DOI:
10.7208/chicago/9780226921969.003.0007
Subject:
Economics and Finance, Econometrics

This chapter analyzes a scheme to charge financial firms for their systemic risk contributions, based on the price of their contingent capital insurance. It provides an explicit calculation formula ... More


Choice Among Assets

John Hicks

in A Market Theory of Money

Published in print:
1989
Published Online:
November 2003
ISBN:
9780198287247
eISBN:
9780191596407
Item type:
chapter
Publisher:
Oxford University Press
DOI:
10.1093/0198287240.003.0009
Subject:
Economics and Finance, Macro- and Monetary Economics

The liquidity concept, which in Keynes's Treatise, (1930) had been confined in application to the behaviour of banks, can be reinterpreted so as to give it a wider reference. Any sort of financial ... More


New Directions in Financial Services Regulation

Roger B. Porter, Robert R. Glauber, and Thomas J. Healey (eds)

Published in print:
2011
Published Online:
August 2013
ISBN:
9780262015615
eISBN:
9780262295789
Item type:
book
Publisher:
The MIT Press
DOI:
10.7551/mitpress/9780262015615.001.0001
Subject:
Economics and Finance, Economic Systems

The financial crisis of 2008 raised crucial questions regarding the effectiveness of the way the United States regulates financial markets. What caused the crisis? What regulatory changes are most ... More


View: