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Banks at risk : global best practices in an age of turbulence / / Peter Hoflich
Banks at risk : global best practices in an age of turbulence / / Peter Hoflich
Pubbl/distr/stampa Singapore : , : J. Wiley & Sons (Asia) Pte. Limited, , 2011
Descrizione fisica 1 online resource (269 p.)
Disciplina 332.1
332.1068
Soggetto topico Bank management
Banks and banking - Risk management
Soggetto genere / forma Electronic books.
ISBN 1-119-19941-7
0-470-82722-X
0-470-82721-1
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Cover; Contents; Title page; Copyright page; Dedication; Acknowledgments; Introduction; ASHES OF THE HEROES; BANKS, REST, AND MOTION; DANGER!; AROUND THE WORLD TO FIND ANSWERS; Part One: The Regulators; Chapter 1: Effective Supervision of Systemically Important Banks; THE MORAL HAZARD FACING LARGE BANKS; SUGGESTED MEASURES; SOME THOUGHTS ON THE SOLUTION TO THE TBTF BANK PROBLEM; CHINA'S PRACTICES IN THE SUPERVISION OF LARGE BANKS; CONCLUSION; Chapter 2: Implications of the Financial Crisis for Risk Management and Macroprudential Supervision; OBSERVATIONS ON THE FINANCIAL CRISIS
EXPLORING THE PROMISE OF MACROPRUDENTIAL SUPERVISIONREDUCING THE LIKELIHOOD OF FUTURE PROBLEMS BY HOLDING MORE CAPITAL; ALTERNATIVE CRISIS MITIGATION STRATEGIES; CONCLUDING OBSERVATIONS; Chapter 3: Entering an Era of Global Regulatory Oversight; LESSONS OF THE GLOBAL FINANCIAL CRISIS; COORDINATING SECURITIES REGULATION; THE IMPORTANCE OF SETTING PRINCIPLES AND MULTILATERAL MEMORANDA OF UNDERSTANDING; IDENTIFYING AND ADDRESSING SYSTEMIC RISK; IOSCO'S POST-CRISIS RECOMMENDATIONS; POST-CRISIS ACCOUNTING ISSUES; THE FUTURE GLOBAL REGULATORY FRAMEWORK; CONCLUSION
Chapter 4: Old and New Lessons of the Financial Crisis for Risk ManagementINTRODUCTION; OLD LESSONS DRAWN FROM THE CRISIS; NEW LESSONS TO BE DRAWN FROM THE CRISIS; CONCLUSION; Part Two: The Practitioners; Chapter 5: Observations from the Epicenter; THE SAFETY VALVES FAILED; PASSING THE BUCK; A CONSPIRACY OF SILENCE; STRESS TESTING; OPPORTUNITIES FOR POSITIVE CHANGE; COMPENSATION AND THE ROLE OF RISK MANAGEMENT; RISK MANAGEMENT IS IN A BANK'S DNA; Chapter 6: The Financial Crisis: Epicenters and Antipodes; CALLING THE CRISIS; MANAGING CRISES; GOVERNMENT INVOLVEMENT; REGULATION; SUPERVISION
GOOD SOLUTIONS IN THE PASTPART OF A SYSTEM; Chapter 7: The Trouble With Troubled Banks; BANKS LED ASTRAY; RESTRUCTURING BANKS: MANAGEMENT; RESTRUCTURING BANKS: CAPITAL; CONCLUSION; Part Three: The Risk Managers; Chapter 8: Global Risk Management in Action; THE FOREIGN EXCHANGE MARKET; SETTLEMENT RISK; WHAT IS CLS?; HOW CLS WORKS; FAILURE MANAGEMENT; SUPERVISORS AND RISK; REGULATORY ENGAGEMENT; DELIVERING EFFICIENCIES AND GROWING BUSINESS OPPORTUNITIES; EXPANDING THE RISK MANAGEMENT ROLE WITH CHANGING NEEDS; LOOKING TO THE FUTURE
Chapter 9: The Credit Crisis and Its Implications for Asian Financial InstitutionsTHE BEGINNING OF THE END; HIGHER STANDARDS; HOLDING CAPITAL: EAST VERSUS WEST; TESTING THE SYSTEM; PREPARING SYSTEMS; Chapter 10: Missing Viewpoints of Current Global Regulatory Discussions; CAUSES OF THE NORTH ATLANTIC FINANCIAL CRISIS: THE EPICENTER VIEW; ANATOMY OF THE NORTH ATLANTIC FINANCIAL CRISIS: THE EPICENTER PERSPECTIVE; ANATOMY OF THE NORTH ATLANTIC FINANCIAL CRISIS: THE NON-EPICENTER PERSPECTIVE; ASSESSING THE CURRENT GLOBAL REGULATORY REACTIONS; CONCLUSION; INDEX
Record Nr. UNINA-9910141312903321
Singapore : , : J. Wiley & Sons (Asia) Pte. Limited, , 2011
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Banks at risk : global best practices in an age of turbulence / / Peter Hoflich
Banks at risk : global best practices in an age of turbulence / / Peter Hoflich
Pubbl/distr/stampa Singapore : , : J. Wiley & Sons (Asia) Pte. Limited, , 2011
Descrizione fisica 1 online resource (269 p.)
Disciplina 332.1
332.1068
Soggetto topico Bank management
Banks and banking - Risk management
ISBN 1-119-19941-7
0-470-82722-X
0-470-82721-1
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Cover; Contents; Title page; Copyright page; Dedication; Acknowledgments; Introduction; ASHES OF THE HEROES; BANKS, REST, AND MOTION; DANGER!; AROUND THE WORLD TO FIND ANSWERS; Part One: The Regulators; Chapter 1: Effective Supervision of Systemically Important Banks; THE MORAL HAZARD FACING LARGE BANKS; SUGGESTED MEASURES; SOME THOUGHTS ON THE SOLUTION TO THE TBTF BANK PROBLEM; CHINA'S PRACTICES IN THE SUPERVISION OF LARGE BANKS; CONCLUSION; Chapter 2: Implications of the Financial Crisis for Risk Management and Macroprudential Supervision; OBSERVATIONS ON THE FINANCIAL CRISIS
EXPLORING THE PROMISE OF MACROPRUDENTIAL SUPERVISIONREDUCING THE LIKELIHOOD OF FUTURE PROBLEMS BY HOLDING MORE CAPITAL; ALTERNATIVE CRISIS MITIGATION STRATEGIES; CONCLUDING OBSERVATIONS; Chapter 3: Entering an Era of Global Regulatory Oversight; LESSONS OF THE GLOBAL FINANCIAL CRISIS; COORDINATING SECURITIES REGULATION; THE IMPORTANCE OF SETTING PRINCIPLES AND MULTILATERAL MEMORANDA OF UNDERSTANDING; IDENTIFYING AND ADDRESSING SYSTEMIC RISK; IOSCO'S POST-CRISIS RECOMMENDATIONS; POST-CRISIS ACCOUNTING ISSUES; THE FUTURE GLOBAL REGULATORY FRAMEWORK; CONCLUSION
Chapter 4: Old and New Lessons of the Financial Crisis for Risk ManagementINTRODUCTION; OLD LESSONS DRAWN FROM THE CRISIS; NEW LESSONS TO BE DRAWN FROM THE CRISIS; CONCLUSION; Part Two: The Practitioners; Chapter 5: Observations from the Epicenter; THE SAFETY VALVES FAILED; PASSING THE BUCK; A CONSPIRACY OF SILENCE; STRESS TESTING; OPPORTUNITIES FOR POSITIVE CHANGE; COMPENSATION AND THE ROLE OF RISK MANAGEMENT; RISK MANAGEMENT IS IN A BANK'S DNA; Chapter 6: The Financial Crisis: Epicenters and Antipodes; CALLING THE CRISIS; MANAGING CRISES; GOVERNMENT INVOLVEMENT; REGULATION; SUPERVISION
GOOD SOLUTIONS IN THE PASTPART OF A SYSTEM; Chapter 7: The Trouble With Troubled Banks; BANKS LED ASTRAY; RESTRUCTURING BANKS: MANAGEMENT; RESTRUCTURING BANKS: CAPITAL; CONCLUSION; Part Three: The Risk Managers; Chapter 8: Global Risk Management in Action; THE FOREIGN EXCHANGE MARKET; SETTLEMENT RISK; WHAT IS CLS?; HOW CLS WORKS; FAILURE MANAGEMENT; SUPERVISORS AND RISK; REGULATORY ENGAGEMENT; DELIVERING EFFICIENCIES AND GROWING BUSINESS OPPORTUNITIES; EXPANDING THE RISK MANAGEMENT ROLE WITH CHANGING NEEDS; LOOKING TO THE FUTURE
Chapter 9: The Credit Crisis and Its Implications for Asian Financial InstitutionsTHE BEGINNING OF THE END; HIGHER STANDARDS; HOLDING CAPITAL: EAST VERSUS WEST; TESTING THE SYSTEM; PREPARING SYSTEMS; Chapter 10: Missing Viewpoints of Current Global Regulatory Discussions; CAUSES OF THE NORTH ATLANTIC FINANCIAL CRISIS: THE EPICENTER VIEW; ANATOMY OF THE NORTH ATLANTIC FINANCIAL CRISIS: THE EPICENTER PERSPECTIVE; ANATOMY OF THE NORTH ATLANTIC FINANCIAL CRISIS: THE NON-EPICENTER PERSPECTIVE; ASSESSING THE CURRENT GLOBAL REGULATORY REACTIONS; CONCLUSION; INDEX
Record Nr. UNINA-9910829904603321
Singapore : , : J. Wiley & Sons (Asia) Pte. Limited, , 2011
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui