03030nam 2200745 450 991046097520332120200520144314.00-262-32861-50-262-32860-7400250679499780262028691(CKB)3710000000437114(EBL)3433786(SSID)ssj0001520475(PQKBManifestationID)12645121(PQKBTitleCode)TC0001520475(PQKBWorkID)11526381(PQKB)11746871(StDuBDS)EDZ0001387276(MiAaPQ)EBC3433786(OCoLC)911912632(OCoLC)960929295(OCoLC)973310622(OCoLC)973368895(OCoLC)985317514(OCoLC)985405464(OCoLC)987774448(OCoLC)993695270(OCoLC)1055398179(OCoLC)1066622659(OCoLC)1081210628(OCoLC-P)911912632(MaCbMITP)9856(Au-PeEL)EBL3433786(CaPaEBR)ebr11070633(CaONFJC)MIL803988(OCoLC)911912632(EXLCZ)99371000000043711420140908h20152015 uy| 0engurcnu---unuuutxtccrSystemic risk, crises, and macroprudential regulation /Xavier Freixas, Luc Laeven, and Jose-Luis PeydroCambridge, Massachusetts :MIT Press,[2015]©20151 online resource (472 p.) illustrations, chartsPreviously issued in print: 2015.0-262-02869-7 Includes bibliographical references and index.Introduction -- A primer on systemic risk -- Systemic risk: a theoretical framework -- The buildup of financial imbalances -- Contagion -- Systemic risk and the real costs of financial crises -- Measuring systemic risk -- Systemic risk and microprudential regulation -- Systemic risk and macroprudential regulation -- Monetary policy and systemic risk -- New challenges for regulatory policy.Offering a framework for understanding the reasons for the regulatory shift from a microprudential to a macroprudential approach to financial regulation, this book provides a list of challenges in the implementation of macroprudential policy and a discussion on its limitations. --Edited summary from book.Monetary policyFinanceGovernment policyEconomic policyFinancial crisesRiskElectronic books.Monetary policy.FinanceGovernment policy.Economic policy.Financial crises.Risk.339.5Freixas Xavier122201Laeven LucPeydró José-LuisMiAaPQMiAaPQMiAaPQBOOK9910460975203321Systemic risk, crises, and macroprudential regulation2472926UNINA