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Policy Instruments from Three Perspectives: Fiscal and Monetary Policy

Joseph E. Stiglitz, José Antonio Ocampo, Shari Spiegel, Ricardo Ffrench-Davis, and Deepak Nayyar

in Stability with Growth: Macroeconomics, Liberalization and Development

Published in print:
2006
Published Online:
September 2006
ISBN:
9780199288144
eISBN:
9780191603884
Item type:
chapter
Publisher:
Oxford University Press
DOI:
10.1093/0199288143.003.0005
Subject:
Economics and Finance, Development, Growth, and Environmental

This chapter focuses on the use of fiscal and monetary policies (including an analysis of the macroeconomic dimensions of prudential regulations) for a closed economy by contrasting Keynesian, ... More


The Future of Banking Regulation

Jean-Charles Rochet

in Balancing the Banks: Global Lessons from the Financial Crisis

Published in print:
2010
Published Online:
October 2017
ISBN:
9780691145235
eISBN:
9781400834648
Item type:
chapter
Publisher:
Princeton University Press
DOI:
10.23943/princeton/9780691145235.003.0003
Subject:
Business and Management, Finance, Accounting, and Banking

This chapter takes a more detailed look at the flaws in the prudential framework that was in place when the crisis erupted and at the required remedies. It begins by discussing the Basel Accords and ... More


Domestic Financial Regulations in Developing Countries: Can They Effectively Limit the Impact of Capital Account Volatility?

Liliana Rojas‐Suarez

in Capital Market Liberalization and Development

Published in print:
2008
Published Online:
May 2008
ISBN:
9780199230587
eISBN:
9780191710896
Item type:
chapter
Publisher:
Oxford University Press
DOI:
10.1093/acprof:oso/9780199230587.003.0009
Subject:
Economics and Finance, Development, Growth, and Environmental

This chapter identifies two alternative forms of prudential regulation. The first set is formed by regulations that directly control financial aggregates, such as liquidity expansion and credit ... More


Background Considerations to a Re‐Regulation of the US Financial System: Third Time a Charm? Or Strike Three?

Jan Kregel

in Time for a Visible Hand: Lessons from the 2008 World Financial Crisis

Published in print:
2010
Published Online:
February 2010
ISBN:
9780199578801
eISBN:
9780191723285
Item type:
chapter
Publisher:
Oxford University Press
DOI:
10.1093/acprof:oso/9780199578801.003.0004
Subject:
Economics and Finance, Macro- and Monetary Economics, Financial Economics

Kregel's chapter notes that the United States financial system is currently undergoing its third episode of major financial turmoil and response in the form of financial re‐regulation. The first was ... More


Consequences of Liberalizing Derivatives Markets

Randall Dodd

in Capital Market Liberalization and Development

Published in print:
2008
Published Online:
May 2008
ISBN:
9780199230587
eISBN:
9780191710896
Item type:
chapter
Publisher:
Oxford University Press
DOI:
10.1093/acprof:oso/9780199230587.003.0011
Subject:
Economics and Finance, Development, Growth, and Environmental

This chapter analyses the consequences of growth and development of derivatives markets in developing countries in the context of deregulated financial markets. It discusses both the economic ... More


Conclusion: Themes and Prospects

E. Philip Davis

in Debt, Financial Fragility, and Systemic Risk

Published in print:
1995
Published Online:
November 2003
ISBN:
9780198233312
eISBN:
9780191596124
Item type:
chapter
Publisher:
Oxford University Press
DOI:
10.1093/0198233310.003.0012
Subject:
Economics and Finance, Financial Economics

We seek in the conclusion to draw together the analysis of the book under four main headings, issues of finance (including equity finance, agency costs, and monetary policy issues), regulatory issues ... More


The Basics of Too Big to Fail

Lawrence J. White

in Perspectives on Dodd-Frank and Finance

Published in print:
2014
Published Online:
May 2015
ISBN:
9780262028035
eISBN:
9780262325929
Item type:
chapter
Publisher:
The MIT Press
DOI:
10.7551/mitpress/9780262028035.003.0003
Subject:
Economics and Finance, Financial Economics

Professor Lawrence White characterizes too big to fail institutions as large financial companies with little equity and significant short-term liabilities that hold illiquid and opaque long-term ... More


Fragility in Banking and the Role of Regulation

Xavier Vives

in Competition and Stability in Banking: The Role of Regulation and Competition Policy

Published in print:
2016
Published Online:
January 2018
ISBN:
9780691171791
eISBN:
9781400880904
Item type:
chapter
Publisher:
Princeton University Press
DOI:
10.23943/princeton/9780691171791.003.0003
Subject:
Business and Management, Finance, Accounting, and Banking

This chapter examines the unique characteristics of banks that make them heavily regulated and subject to public intervention. It first explains the roots of fragility, contagion, and systemic risk ... More


Competition, Regulation, and Stability in Banking: Theory and Evidence

Xavier Vives

in Competition and Stability in Banking: The Role of Regulation and Competition Policy

Published in print:
2016
Published Online:
January 2018
ISBN:
9780691171791
eISBN:
9781400880904
Item type:
chapter
Publisher:
Princeton University Press
DOI:
10.23943/princeton/9780691171791.003.0005
Subject:
Business and Management, Finance, Accounting, and Banking

This chapter examines the relationship between competition and stability in the banking sector both from a theoretical and from an empirical perspective. It considers the competition–stability link ... More


Comments by Robert K. Steel

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

in New Directions in Financial Services Regulation

Published in print:
2011
Published Online:
August 2013
ISBN:
9780262015615
eISBN:
9780262295789
Item type:
chapter
Publisher:
The MIT Press
DOI:
10.7551/mitpress/9780262015615.003.0015
Subject:
Economics and Finance, Economic Systems

This chapter gives a response to the financial crisis along a different path to the argument of either more or less regulation. Instead, the chapter decides to focus on effective regulation. Three ... More


Systemic Risk and Microprudential Regulation

Xavier Freixas, Luc Laeven, and José-Luis Peydró

in "Systemic Risk, Crises, and Macroprudential Regulation"

Published in print:
2015
Published Online:
September 2016
ISBN:
9780262028691
eISBN:
9780262328609
Item type:
chapter
Publisher:
The MIT Press
DOI:
10.7551/mitpress/9780262028691.003.0008
Subject:
Economics and Finance, Public and Welfare

This chapter presents the classical banking regulatory framework relying exclusively on microprudential policy and its relevance for future regulatory policy. It offers the rationale for ... More


States and Financial Markets: The Imbalance of Power

Kenneth Dyson

in States, Debt, and Power: 'Saints' and 'Sinners' in European History and Integration

Published in print:
2014
Published Online:
August 2014
ISBN:
9780198714071
eISBN:
9780191782558
Item type:
chapter
Publisher:
Oxford University Press
DOI:
10.1093/acprof:oso/9780198714071.003.0012
Subject:
Political Science, European Union

This chapter looks at the imbalance between financial-market power in branding states and state power in taming financial markets. It examines collective-action problems in the face of the various ... More


Risk

Paul Langley

in Liquidity Lost: The Governance of the Global Financial Crisis

Published in print:
2014
Published Online:
January 2015
ISBN:
9780199683789
eISBN:
9780191763366
Item type:
chapter
Publisher:
Oxford University Press
DOI:
10.1093/acprof:oso/9780199683789.003.0006
Subject:
Business and Management, Finance, Accounting, and Banking

This chapter analyses how the global financial crisis was governed as a problem of risk, and of micro-prudential, probabilistic risk management in particular. It focuses on the Supervisory Capital ... More


Regulatory Dimensions

Rob Merkin and Jenny Steele

in Insurance and the Law of Obligations

Published in print:
2013
Published Online:
September 2013
ISBN:
9780199645749
eISBN:
9780191747823
Item type:
chapter
Publisher:
Oxford University Press
DOI:
10.1093/acprof:oso/9780199645749.003.0004
Subject:
Law, Law of Obligations

Emphasises the significance of public regulation of insurance activity, and identifies the traditional concerns of UK insurance regulation with solvency rather than policy terms. Explores ... More


International Regulatory Regimes

TONY PORTER

in International Finance: A Survey

Published in print:
2012
Published Online:
May 2013
ISBN:
9780199754656
eISBN:
9780199979462
Item type:
chapter
Publisher:
Oxford University Press
DOI:
10.1093/acprof:oso/9780199754656.003.0013
Subject:
Economics and Finance, Financial Economics, International

As finance has become more globalized and global financial crises have become more frequent and severe, a set of international regulatory regimes has been established. These have generally taken the ... More


Should Financial Flows Be Regulated? Yes

Gerald Epstein

in Reforming the International Financial System for Development

Published in print:
2011
Published Online:
November 2015
ISBN:
9780231157643
eISBN:
9780231527279
Item type:
chapter
Publisher:
Columbia University Press
DOI:
10.7312/columbia/9780231157643.003.0008
Subject:
Economics and Finance, Financial Economics

This chapter argues that policies to better manage international capital flows should be part of the government “toolkits” of monetary and financial policy in facing the difficult challenges arising ... More


Policy in an Economy with Balance Sheet Effects

Aaron Tornell (ed.)

in Preventing Currency Crises in Emerging Markets

Published in print:
2002
Published Online:
February 2013
ISBN:
9780226184944
eISBN:
9780226185057
Item type:
chapter
Publisher:
University of Chicago Press
DOI:
10.7208/chicago/9780226185057.003.0016
Subject:
Economics and Finance, International

This chapter assesses the policy responses to crisis in the presence of enforceability problems, bailout problems, and balance sheet effects. Systemic bailout guarantees are a second-best instrument ... More


International Trade in Carbon Units and Financial Services*

James Munro

in Emissions Trading Schemes under International Economic Law

Published in print:
2018
Published Online:
October 2018
ISBN:
9780198828709
eISBN:
9780191867101
Item type:
chapter
Publisher:
Oxford University Press
DOI:
10.1093/oso/9780198828709.003.0006
Subject:
Law, Public International Law

Chapter 6 examines whether measures affecting trade in carbon units constitute measures affecting trade in financial services under the GATS Annex on Financial Services and free trade agreements ... More


Shadow Banking as a Source of Systemic Risk

Robert E. Rubin

in Progress and Confusion: The State of Macroeconomic Policy

Published in print:
2016
Published Online:
January 2017
ISBN:
9780262034623
eISBN:
9780262333450
Item type:
chapter
Publisher:
The MIT Press
DOI:
10.7551/mitpress/9780262034623.003.0008
Subject:
Economics and Finance, Public and Welfare

The chapter argues that market-based financial systems will experience episodes of booms and bust, even if regulation can reduce their likelihood and severity. It sees significant risk in the shadow ... More


Definitions and Interaction between Duties

Langford Rosemary

in Company Directors’ Duties and Conflicts of Interest

Published in print:
2019
Published Online:
March 2021
ISBN:
9780198813668
eISBN:
9780191927980
Item type:
chapter
Publisher:
Oxford University Press
DOI:
10.1093/oso/9780198813668.003.0003
Subject:
Law, Company and Commercial Law

The purpose of this chapter is to lay the foundation for critical analysis in subsequent chapters, in providing an overview of the key aspects of regulation of conflicts in each jurisdiction. The ... More


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