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Bank Crises – Causes, Analysis and Prevention: Research in Financial Services: Private and Public Policy

Autor George G. Kaufman
en Limba Engleză Hardback – 18 ian 1999
The papers in this volume were presented at three invited sessions at the annual meeting of the Western Economic Association in Lake Tahoe, Nevada on June 30 and July 1, 1998. The comments of the speaker at each of these sessions are also included.

The papers focus on the widespread banking and financial crises that have plagued many countries worldwide. A study by the International Monetary Fund (Lindgren, Garcia, & Saal, 1996) reported that banking crises had been experienced by nearly three-quarters of its 180-plus member countries since 1980. And this was before the current problems in Korea and Southeast Asia. Only the African continent, where banking systems are generally quite primitive, appears to have been unaffected.


The papers in this volume amplify on the evidence in this area for additional countries; expand the earlier analyses; describe, discuss, and evaluate alternative procedures for resolving bank insolvencies and recapitalizing the banking system, and suggest ways of maintaining bank solvency and preventing reoccurrences of these costly crises.


The papers are timely, add considerably to our storehouse of knowledge, and are likely to be of particular value to policy makers, bankers, and fellow researchers.
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Specificații

ISBN-13: 9780762303588
ISBN-10: 0762303581
Pagini: 336
Dimensiuni: 155 x 234 x 483 mm
Greutate: 0.61 kg
Ediția:New.
Editura: Emerald Publishing
Seria Research in Financial Services: Private and Public Policy


Cuprins

Introduction (G.G. Kaufman). PART I: Banking on Crises: Expensive Lessons (G. Caprio, Jr.). Current experiences in Southeast Asia (G. Garcia). The political economy of banking and financial regulatory reform in emerging markets (R.S. Kroszner). Czech banking reform: what went wrong and why? (T.S. Mondschean). Comment (P.M. Horvitz). PART II: Financial Fragility: Theories and Empirical Evidence (H.A. Benink). Korea and Japan: the end of the "Japanese Financial Regime," (T.F. Cargill). Bank relations and the perception of a bank crisis - A case study of Italy (P.M. Reedtz). Asian banking crises in the 1990s: all alike? (A.J. Schwartz). Comment (D. Evanoff). PART III: The Role of Governments and Markets in International Banking Crises: The Case of East Asia (J. Barth et al.). An examination of bank regulators' decisions to fail banks: an international perspective (P.F. Bartholomew, B.E. Gup). Does the publication of supervisory enforcement actions add to Market discipline (R.A. Gilbert, M.D. Vaughan). Central banks, asset bubbles, and financial stability (G.G. Kaufman). Comment (R. Nelson).

Recenzii

Twelve papers, presented at the annual meeting of the Western Economic Association held in Lake Tahoe in June-July 1998, examine recent banking and financial crises in a number of countries worldwide and address the challenge of resolving these crises and preventing future crises. ...Kaufmann is John F. Smith Professor of Finance at Loyola University, Chicago.
Journal of Economic Literature

Descriere

Presented during three sessions at the 1998 annual meeting of the Western Economic Association in Lake Tahoe, Nevada, these papers focus on the widespread banking and financial crises that have plagued many countries worldwide.