Apraksts

Leader00779nam a2200253 i 4500
0011013733
003LB
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008130827 2013 uk 00000 eng
020 a: 9781782720102
040 a: LB
041 a: eng
080##a: 336.71
1001#a: Galizia, Federico4: aute: Autors
2451 a: Managing Systemic Exposureb: a Risk Management Framework for SIFIs and Their Marketsc: Federico Galizia
260 a: Londonb: Risk Booksc: 2013
300 a: 270 p.
650#4a: Riska menedžments
650#4a: Risk management
990##a: 336.71

Eksemplāri

Fonds Adrese Skaits Plaukts Pieejamība
Bibliotēka 01.2 1 Plauktā Var pasūtīt

Anotācija


Introduction
Federico Galizia

1. SIFIs and the Financial Crisis
John T. Gerlach
Sacred Heart University

2. Remuneration at Large Financial Services Firms
Mark Carey
Federal Reserve Board

3. What Drives Banking Industry Ratings? An Empirical Analysis
Claudio Calì, Barbara Marchitto; Andrea Resti
European Investment Bank; Bocconi University

4. Leverage: A Research Agenda for SIFIs
Jorge A. Chan-Lau, André O. Santos, Liliana Schumacher,
Karim Youssef, Luisa Zanforlin; Federico Galizia
International Monetary Fund; European Investment Fund

5. Bank Off-balance-sheet Leverage: Some Lessons from the Financial Crisis
Nikolaos I. Papanikolaou
University of Luxembourg

6. Systemic Wrong-way Risk
Michael Pykhtin and Alexander Sokol
Federal Reserve Board and CompatibL

7. The OTC Derivatives Market: Risks and Regulations
Manmohan Singh
IMF

8. Balance Sheet Management for SIFIs
Andreas Bohn and Paolo Tonucci
Barclays

9. Managing Concentration Risk
Federico Galizia
European Investment Fund

10. Capital Adequacy Ratio: A Managerial Framework
J. M. Magnette
European Investment Bank

Appendix: G-SIB Regulatory and Supervisory Regime
Andrea Cremonino
UniCredit

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