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Financial Regulation

Financial Regulation : A Transatlantic Perspective. 金融規制-大西洋間の視点

・ISBN 978-1-107-08426-1 hard GB£ 120.00

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・ISBN 978-1-107-44622-9 paper

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電子版あり 大学・学術機関向け電子ブック(eBook)ISBN 978-1-316-02664-9

著者・編者Faia, Ester / Hackethal, A. / Haliassos, M. et al. (eds.),
出版社(Cambridge U. Pr., UK)
出版年月2015
ページ数349 pp.
言語ENG
ニュース番号<627-521 627-L420>

解説

The 2007 to 2009 financial crisis resulted in the re-emergence of the debate on financial regulation and its relationships with other macroeconomic policies, particularly monetary policy. In Europe, the financial crisis was followed by the sovereign debt crisis, as the bail-out of the financial sector put strains on public finances in several countries. The sequence of events called for a strengthening of the union, ranging from a common framework for supervisory policy that could minimize the risk of unforeseen bank or country defaults to a common resolution mechanism that could set equal rules across countries and reduce ex-ante mis-incentives to risk-taking and moral hazard. This analysis of the state of and prospects for financial regulation examines the lending and saving behavior of banks and households as well as their borrowing activities in order to understand the conflicting priorities and complicated decisions involved in the development and implementation of financial legislation.