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The Foundations and Future of Financial Regulation: Governance for Responsibility

Autor Mads Andenas, Iris H-Y Chiu
en Limba Engleză Hardback – 14 noi 2013
Financial regulation has entered into a new era, as many foundational economic theories and policies supporting the existing infrastructure have been and are being questioned following the financial crisis. Goodhart et al’s seminal monograph "Financial Regulation: Why, How and Where Now?" (Routledge:1998) took stock of the extent of financial innovation and the maturity of the financial services industry at that time, and mapped out a new regulatory roadmap. This book offers a timely exploration of the "Why, How and Where Now" of financial regulation in the aftermath of the crisis in order to map out the future trajectory of financial regulation in an age where financial stability is being emphasised as a key regulatory objective.
The book is split into four sections: the objectives and regulatory landscape of financial regulation; the regulatory regime for investor protection; the regulatory regime for financial institutional safety and soundness; and macro-prudential regulation. The discussion ranges from theoretical and policy perspectives to comprehensive and critical consideration of financial regulation in the specifics. The focus of the book is on the substantive regulation of the UK and the EU, as critical examination is made of the unravelling and the future of financial regulation with comparative insights offered where relevant especially from the US. Running throughout the book is consideration of the relationship between financial regulation, financial stability and the responsibility of various actors in governance.
This book offers an important contribution to continuing reflections on the role of financial regulation, market discipline and corporate responsibility in the financial sector, and upon the roles of regulatory authorities, markets and firms in ensuring the financial health and security of all in the future.
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Specificații

ISBN-13: 9780415672009
ISBN-10: 0415672007
Pagini: 560
Dimensiuni: 156 x 234 x 34 mm
Greutate: 0.95 kg
Ediția:New.
Editura: Taylor & Francis
Colecția Routledge
Locul publicării:Oxford, United Kingdom

Public țintă

Postgraduate

Cuprins

Part 1: The Objectives and Governance Landscape in Financial Regulation  1. Introduction  2. The Objectives of Financial Regulation  3. The Decentred Regulatory Space in Financial Sector Governance and the Essential Partnership of Public and Private-led Governance  4. The Governance Role of Auditors in Financial Regulation  Part 2: Investor Protection in Financial Regulation  5. The Nature of Investor Protection  6. Regulatory Governance of Alternative Investment Fund Managers  7. Regulation of Credit Rating Agencies  8. Consumer Protection in the Retail Market  Part 3: Regulating Financial Firms  9. Regulating the Soundness of Financial Intermediaries  10. From Financial Intermediaries to Masters of the Universe  11. Addressing the Consequences of Financial Empire Building and Systemic Risk Costs  12. Boosting Micro-prudential Regulation  13. The Meta-regulatory Nature of Risk Management and Corporate Governance  Part 4: Macro-prudential Supervision for the Future  14. The Rise of Macro-prudential Supervision  15. Information Collection and Surveillance in Macro-prudential Supervision  16. The Regulatory Architecture for Macro-prudential Supervision in the UK and EU  17. The Pre-emptive Approach in Financial Regulation and the Accountability of Regulatory Authorities in the UK and EU  18. The International Framework for Financial Regulation  19. Conclusion

Descriere

Financial regulation has entered into a new era, as many foundational economic theories and policies supporting the existing infrastructure have been and are being questioned following the financial crisis. Goodhart et al’s seminal monograph "Financial Regulation: Why, How and Where Now?" (Routledge:1998) took stock of the extent of financial innovation and the maturity of the financial services industry at that time, and mapped out a new regulatory roadmap. This book offers a timely exploration of the "Why, How and Where Now" of financial regulation in the aftermath of the crisis in order to map out the future trajectory of financial regulation in an age where responsibility, especially social responsibility is being emphasised.
This book offers an important contribution to continuing reflections on the role of financial regulation, market discipline and corporate responsibility in the financial sector, and upon the roles of regulatory authorities, markets and firms in ensuring the financial health and security of all in the future.