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Systemic Risk and Macroprudential Regulations - Hardcover , English

Systemic Risk and Macroprudential Regulations - Hardcover , English
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The Global Financial Crisis is undoubtedly the most severe financial crisis the world witnessed since the Great Depression of 1929. The crisis has been analysed by a number of experts offering distinct narratives and counter-narratives. Systemic Risk and Macroprudential Regulations examines causes and consequences of the global financial crisis and proposes a regulatory reforms policy;macroprudential regulations. The book emphasizes 'systemic risk as the new-found villain of the financial space and narrates how such risk can be addressed through macroprudential tools. It, thus, offers a possible solution to avoid financial crises in future and facilitates building a safer financial system globally. The book also examines major crisis management frameworks, stress testing, relevant reg..
Pustak Details
Sold BySAGE Publications India
AuthorRabi N. Mishra
ImprintSAGE India
ISBN-139789353285425
FormatHardcover
LanguageEnglish
Pages508
Publication Date (YYYY-MM-DD)2019-8-1
Publication Year2019
CategoryEconomics & Development Studies,Banking,Global Financial Crisis,Causes And Consequences Of The Global Financial Crisis,Regulatory Reforms Policy

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Book Description

Systemic Risk and Macroprudential Regulations - Hardcover , English

The Global Financial Crisis is undoubtedly the most severe financial crisis the world witnessed since the Great Depression of 1929. The crisis has been analysed by a number of experts offering distinct narratives and counter-narratives. Systemic Risk and Macroprudential Regulations examines causes and consequences of the global financial crisis and proposes a regulatory reforms policy;macroprudential regulations. The book emphasizes 'systemic risk as the new-found villain of the financial space and narrates how such risk can be addressed through macroprudential tools. It, thus, offers a possible solution to avoid financial crises in future and facilitates building a safer financial system globally. The book also examines major crisis management frameworks, stress testing, relevant regulatory and supervisory development, and early warning mechanism with detailed cross-country analysis.
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