The Banking Crisis Handbook

Hardcover
from $0.00

Author: Greg N. Gregoriou

ISBN-10: 1439818533

ISBN-13: 9781439818534

Category: Banking Law

Explores the Origin of the Recent Banking Crisis and how to Preclude Future Crises\ Shedding new light on the recent worldwide banking debacle, The Banking Crisis Handbook presents possible remedies as to what should have been done prior, during, and after the crisis. With contributions from well-known academics and professionals, the book contains exclusive, new research that will undoubtedly assist bank executives, risk management departments, and other financial professionals to attain a...

Search in google:

Explores the Origin of the Recent Banking Crisis and how to Preclude Future CrisesShedding new light on the recent worldwide banking debacle, The Banking Crisis Handbook presents possible remedies as to what should have been done prior, during, and after the crisis. With contributions from well-known academics and professionals, the book contains exclusive, new research that will undoubtedly assist bank executives, risk management departments, and other financial professionals to attain a clear picture of the banking crisis and prevent future banking collapses.The first part of the book explains how the crisis originated. It discusses the role of subprime mortgages, shadow banks, ineffective risk management, poor financial regulations, and hedge funds in causing the collapse of financial systems. The second section examines how the crisis affected the global market as well as individual countries and regions, such as Asia and Greece. In the final part, the book explores short- and long-term solutions, including government intervention, financial regulations, efficient bank default risk approaches, and methods to evaluate credit risk. It also looks at when government intervention in financial markets can be ethically justified.

Banking Gross Negligence and Shadow Banking SystemThe Banking Crisis of the New Millennium—Why It Was Inevitable, Carolyn V. CurrieThe Effect of Monetary Policy on Stock Prices: The Subprime Mortgage Crisis, Xanthi Gkougkousi and Peter Roosenboom Shadow Banks and the Financial Crisis of 2007—2008, Jason Hsu and Max MorozIneffective Risk Management in Banking: Bold Ignorance or Gross Negligence?, Wilhelm K. Kross and Werner GleissnerThe U.S. Mortgage Crisis: Subprime or Systemic?, Eric TymoigneRegulation and Financial Stability in Laissez-Faire Hong Kong: A Reassuring Record, Leo F. GoodstadtAuction Rate Securities: Another Victim of the Credit Crisis, Edwin Neave and Samir SaadiThe Banking Crisis and the Nation-State, Jorg R. WernerThe Banking Crisis and the Insurance Markets, Christopher Parsons and Stanley MutengaThe Role of Hedge Funds in the Banking Crisis: Victim or Culprit?, Nicolas Papageorgiou and Florent SalmonSolving the Banking Crisis: A Private Capital Solution, François-Serge LhabitantHedge Fund, Financial Leverage, and the 2008 Systematic Crisis: Are They Victims or Killers?, Ruggero BertelliEvaluation of Evidence for Banking Equity: Market Volatility in the Emerging Economy of China, Jack Penm and R.D. TerrellGlobal, European, and Emerging Markets’ PerspectivesA Global Perspective on the Banking Crisis and Recovery: An Analysis of Domestic vs. Foreign Banks, Mahmud Hossain, Pankaj K. Jain, and Sandra MortalOvercoming Institutional Myopia and Bankers’ Self-Dealing Behavior: Coping with the Impact of the Global Financial Crisis on European Securitization Markets, Ulrich Hommel and Julia ReichertThe Millenium’s Credit Crunch and Lender of Last Resort: A Review of the Literature, Vicente JakasEmerging Stock Markets and the Current Financial Crisis: Emergence of a New Puzzle?, Mohamed El Hedi Arouri, Fredj Jawadi, and Duc Khuong NguyenThe Financial Crisis and Loan Impairment Provisioning in Asia Banks, Tyrone M. Carlin, Nigel Finch, and Guy W. FordCurrency and Maturity Mismatches in Latin America, Marco Sorge and Chendi ZhangDangers and Opportunities for the Russian Banking Sector: 2007—2008, Dean Fantazzini, Alexander Kudrow, and Andrew ZlotnikThe Stability of the Australian Banking Sector, Phillip A. Stork and Casper G. de VriesWhy Have Australian Banks Survived the Recent Global Financial Crisis?, John Simpson and Jennifer WestawayDefault Risk Codependence in the Global Financial System: Was the Bear Stearns Bailout Justified?, Jorge A. Chan-LauThe Implementation of MiFID in the Financial Crisis Context: An Ethnographic Research Conducted in Greece, Emmanuel Fragniére and Elena GrammenouPreventing Banking Crises, Bank Runs, Regulation, and BailoutsCredit Derivatives and What Happened Next: Analysis and Recommendations, Bastian Breitenfellner and Niklas WagnerIdentifying Bank Runs Signals through Sociological Factors: An Empirical Research in the Geneva Area, Giuseppe Catenazzo and Emmanuel FragniéreBank Default Risk in the United States and the United Kingdom, Robert Powell and David E. Allen Remuneration, Risk, and Financial Crisis, Guy W. Ford, Tyrone M. Carlin, and Nigel FinchSome Overlooked Ethical Aspects of Bailing out Banks and the Philosophy of Frederic Bastiat, Robert W. McGeeIndex