Langbeschreibung
What do theory and empirical observations tell us about causes and consequences of financial instability? What lessons can we learn from economic policies implemented, research developed rapidly in the recent years? Ten years after the GFC crisis, a timely review of the reform agenda, progress, and areas where further changes are needed.
Inhaltsverzeichnis
1. Notions. 2. Financial Cycles and Crises. 3. International Dimensions of Financial Stability. 4. Incentives.5. Constraints. 6. Capital and Liquidity Standards. 7. Crisis Management and Resolution of Financial Institutions. 8. Macroprudential Policy. 9. Economic Policies and Financial Stability. 10. Institutions. 11. Emerging Risks and New Challenges