Coping with Financial Fragility and Systemic Risk
Harald A. . Ed(S): Benink
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Description for Coping with Financial Fragility and Systemic Risk
Hardback. Identifying the sources of perceived fragility in financial institutions/markets, this volume studies the potential consequences throughout the economy. It examines private sector solutions for dealing with systemic risk and the regulatory solutions to these problems. Editor(s): Benink, Harald A. Series: Financial and Monetary Policy Studies. Num Pages: 308 pages, 1, black & white illustrations. BIC Classification: KFFK. Category: (P) Professional & Vocational; (UP) Postgraduate, Research & Scholarly; (UU) Undergraduate. Dimension: 234 x 156 x 19. Weight in Grams: 609.
Coping with Financial Fragility and Systemic Risk identifies and discusses the sources of perceived fragility in financial institutions and markets and its potential consequences throughout the economy. It then examines private sector solutions for dealing with systemic risk and mitigating the consequences. Finally, the book examines regulatory solutions to these problems.
Coping with Financial Fragility and Systemic Risk identifies and discusses the sources of perceived fragility in financial institutions and markets and its potential consequences throughout the economy. It then examines private sector solutions for dealing with systemic risk and mitigating the consequences. Finally, the book examines regulatory solutions to these problems.
Product Details
Format
Hardback
Publication date
1996
Publisher
Kluwer Academic Publishers United States
Number of pages
308
Condition
New
Series
Financial and Monetary Policy Studies
Number of Pages
300
Place of Publication
Dordrecht, Netherlands
ISBN
9780792396123
SKU
V9780792396123
Shipping Time
Usually ships in 15 to 20 working days
Ref
99-15
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