Systemic Financial Risk

Systemic Financial Risk

An Emerging Market Perspective

Karminsky, Alexander; Stolbov, Mikhail

Springer International Publishing AG

05/2024

334

Dura

9783031548086

15 a 20 dias

Descrição não disponível.
Part I. New Trends in International Financial Development and Risk Assessment.- Chapter 1. Adapted Approaches to Measuring Financial Development Konstantin Krinichansky.- Chapter 2. Green Finance: Trends, Prospects and Risks Svetlana Pertseva , Anna Vityazeva.- Chapter 3. Dynamic BRICS Stock Market Linkages as a Channel of Systemic Risk Transmission: Evidence from the Asymmetric Connectedness Approach Onur Polat.- Chapter 4. Household Income and Financial Stability of the Russian Banking Sector Olga Miroshnichenko, Maria Vyshkovskaia, Valeriy Gamukin.- Chapter 5. The impact of ESG rating on companies' resilience to systemic risks Alexandra Egorova, Herman Petrov-Nerling.- Part II. Quantitative Methods and Models in Emerging Markets' Risk Management.- Chapter 6. New Ways of Measuring Catastrophic Risk Vigen Minasyan.- Chapter 7. Measuring Market Liquidity and Liquidity Mismatches across Sectors Artur Akhmetov, Anna Burova, Natalia Makhankova, and Alexey Ponomarenko.- Chapter 8.The Impact of Macroeconomic Factors on Capital Adequacy of the Russian Banking Sector in the Context of Countercyclical Banking Regulation Olga Miroshnichenko, Maria Vyshkovskaia.- Chapter 9. Assessing the Probability of Default during the COVID-19 Pandemic: the case of airlines Elizaveta Markovskaya, Elena Smolina.- Part III. New Challenges in Systemic Risk Assessment and Regulation.- Chapter 10. Macroprudential Policy: Tools and Evaluation of the Effectiveness of Measures for Systemic Risks Management Ekaterina Seryakova.- Chapter 11. Financial Resolution of Banks in Distress: International Evidence Nataliya Kovaleva, Oksana Petrova.- Chapter 12. Digital Systemic Financial Risks in the Russian Banking Sector Sergey Dubinin.- Conclusion






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systemic risk;risk management;catastrophic risks;ESG;macroprudential policy;green finance;financial stability