Shigehara, Kumiharu
The Limits of Surveillance and Financial Market Failure
1. The Limits of Surveillance and Financial Market Failure: Some Fundamental Issues Arising from the Euro-Area Crisis
Kumiharu Shigehara
2. Global and Regional Surveillance: Lessons from the Euro-Area Crisis
André Icard
3. Surveillance Failure or Systemic Failure?
Leif Pagrotsky
4. The Role of Surveillance: Lessons from the Euro-Area Crisis
Val Koromzay
5. Beyond Surveillance: Reducing the Risk of Financial Crises
Paul E. Atkinson
6. How Should Microprudential Control Be Strengthened to Prevent Local and Global Financial Market Failure?
Jeffrey R. Shafer
7. Financial Market Failures and Their Remedies
Carol Sirou
8. On the Connection between Monetary Policy and the Regulation of Banking and Financial Markets
Stephen H. Axilrod
9. Macroprudential Policy, Capital Controls and Bank Systemic Risk
Adrian Blundell-Wignall, Caroline Roulet
10. Risk, Reward and Bank Resilience
Charles A. E. Goodhart
11. Can Europe Get Its Political Act Together? Alternative Scenarios for the Eurozone
William R. White
12. More Effective Management of the Euro Area
Gunter D. Baer
13. Executive Summary
Robert W. R. Price
14. Overview Report
Robert W. R. Price, Nicholas J. Vanston
Keywords: Finance, Banking, International Economics, Risk Management, Macroeconomics/Monetary Economics//Financial Economics
- Editor
- Shigehara, Kumiharu
- Publisher
- Springer
- Publication year
- 2014
- Language
- en
- Edition
- 1
- Page amount
- 241 pages
- Category
- Economy
- Format
- Ebook
- eISBN (PDF)
- 9781137471475
- Printed ISBN
- 978-1-349-50097-0