Preparing for the Next Financial Crisis: Policies, Tools and Models
Editat de Esa Jokivuolle, Radu Tunaruen Limba Engleză Paperback – 10 aug 2022
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Paperback (1) | 193.75 lei 6-8 săpt. | |
Cambridge University Press – 10 aug 2022 | 193.75 lei 6-8 săpt. | |
Hardback (1) | 720.47 lei 6-8 săpt. | |
Cambridge University Press – 15 noi 2017 | 720.47 lei 6-8 săpt. |
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Specificații
ISBN-13: 9781316636534
ISBN-10: 1316636534
Pagini: 203
Ilustrații: 14 b/w illus. 11 tables
Dimensiuni: 152 x 229 x 11 mm
Greutate: 0.28 kg
Editura: Cambridge University Press
Colecția Cambridge University Press
Locul publicării:Cambridge, United Kingdom
ISBN-10: 1316636534
Pagini: 203
Ilustrații: 14 b/w illus. 11 tables
Dimensiuni: 152 x 229 x 11 mm
Greutate: 0.28 kg
Editura: Cambridge University Press
Colecția Cambridge University Press
Locul publicării:Cambridge, United Kingdom
Cuprins
1. Introduction; 2. Non-standard monetary policy and financial stability: developing an appropriate macro-financial policy mix; 3. Financial innovation and financial stability: an introduction; 4. Post-crisis changes in US bank prudential regulation; 5. Financial markets and policy through the lens of macroeconomics; 6. Investment doctrines for banks, from real bills to post-crisis reforms; 7. Stress testing in banking: a critical review; 8. Making sense of the EU wide stress test – comparing SRISK and the ECB/EBA measures of bank vulnerability.
Descriere
This book uses perspectives of finance and banking to offer predictions on future financial crises, and how we can prepare for them.