Role of Crises in Shaping Financial Systems
portes grátis
Role of Crises in Shaping Financial Systems
From the Global Financial Crisis to COVID-19
Mielus, Piotr; Smaga, Pawel; Witkowski, Bartosz; Malinowska-Misiag, Elzbieta; Iwanicz-Drozdowska, Malgorzata
Taylor & Francis Ltd
10/2022
178
Dura
Inglês
9781032126418
15 a 20 dias
780
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1. Chapter 1. Introduction, 2. Chapter 2. Safety net reactions to crises, 2.1. Monetary response, 2.2. Prudential response, 2.2.1. Regulatory measures, 2.2.2. Lessons learned? Impact of regulatory and institutional overhaul, 2.2.3. First experiences with macroprudential policy in the EU, 2.3. In the eye of the storm - crises and banking sector financial standing, 2.3.1. Pre- and post-crisis trends in the European banking sector condition, 2.3.2. Determinants of bank soundness during crises, 3. Chapter 3. Fiscal policy reaction to crises, 3.1. Policy response - towards strengthening European integration, 3.1.1. EU emergency and recovery initiatives, 3.1.2. Tailoring the state aid framework, 3.1.3. Strengthening the fiscal framework, 3.1.4. Financial assistance facilities, 3.2. Support measures for the financial system - case studies, 3.2.1. Ireland, 3.2.2. Greece, 3.2.3. Cyprus, 3.3. Support measures for the real economy - case studies, 3.3.1. Germany, 3.3.2. Poland, 3.4. Balancing fiscal and financial stability, 4. Chapter 4. Financial markets in crises, 4.1. Origin of asset pricing - who drives the market in a crisis?, 4.2. Financial markets in crisis - a victim or a culprit?, 4.3. Emerging markets asymmetry - how contagion works?, 4.4. Case studies for foreign exchange, interest rate, liquidity and equities, 5. Chapter 5. The interplay between the financial sphere and the real sphere, 5.1. Finance and growth nexus - state of play, 5.2. Tail wagging the dog?, 5.3. Financial and real spheres in Western and Eastern Europe , 5.3.1. Financial and real spheres in Europe, 5.3.2 Data and methodology, 5.3.3 Results and discussion. Tail (finance) wagging the dog? 6. Chapter 6. Challenges ahead
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Finance;Financial Crises;Covid-19;Sovereign Debt Crisis;Europe;Financial Systems;Interest Rates;Public Finance;Regulatory Inflation;Monetary Policy;Euro Area;EU Country;Pandemic Crisis;EU Banking Sector;Post-pandemic Period;Macroprudential Policy;Gdp Growth;Fourth Research Hypothesis;State Aid Measures;Atm Volatility;Euro Area Sovereign Debt Crisis;EU Bank;Euro Area Countries;pre-GFC Period;DGS;Capital Buffers;EU GDP;Vat Rate;Systemically Important Financial Institutions;Financial Deepening;EEA Country;CRD Iv;Macroprudential Measures;FX Rate
1. Chapter 1. Introduction, 2. Chapter 2. Safety net reactions to crises, 2.1. Monetary response, 2.2. Prudential response, 2.2.1. Regulatory measures, 2.2.2. Lessons learned? Impact of regulatory and institutional overhaul, 2.2.3. First experiences with macroprudential policy in the EU, 2.3. In the eye of the storm - crises and banking sector financial standing, 2.3.1. Pre- and post-crisis trends in the European banking sector condition, 2.3.2. Determinants of bank soundness during crises, 3. Chapter 3. Fiscal policy reaction to crises, 3.1. Policy response - towards strengthening European integration, 3.1.1. EU emergency and recovery initiatives, 3.1.2. Tailoring the state aid framework, 3.1.3. Strengthening the fiscal framework, 3.1.4. Financial assistance facilities, 3.2. Support measures for the financial system - case studies, 3.2.1. Ireland, 3.2.2. Greece, 3.2.3. Cyprus, 3.3. Support measures for the real economy - case studies, 3.3.1. Germany, 3.3.2. Poland, 3.4. Balancing fiscal and financial stability, 4. Chapter 4. Financial markets in crises, 4.1. Origin of asset pricing - who drives the market in a crisis?, 4.2. Financial markets in crisis - a victim or a culprit?, 4.3. Emerging markets asymmetry - how contagion works?, 4.4. Case studies for foreign exchange, interest rate, liquidity and equities, 5. Chapter 5. The interplay between the financial sphere and the real sphere, 5.1. Finance and growth nexus - state of play, 5.2. Tail wagging the dog?, 5.3. Financial and real spheres in Western and Eastern Europe , 5.3.1. Financial and real spheres in Europe, 5.3.2 Data and methodology, 5.3.3 Results and discussion. Tail (finance) wagging the dog? 6. Chapter 6. Challenges ahead
Este título pertence ao(s) assunto(s) indicados(s). Para ver outros títulos clique no assunto desejado.
Finance;Financial Crises;Covid-19;Sovereign Debt Crisis;Europe;Financial Systems;Interest Rates;Public Finance;Regulatory Inflation;Monetary Policy;Euro Area;EU Country;Pandemic Crisis;EU Banking Sector;Post-pandemic Period;Macroprudential Policy;Gdp Growth;Fourth Research Hypothesis;State Aid Measures;Atm Volatility;Euro Area Sovereign Debt Crisis;EU Bank;Euro Area Countries;pre-GFC Period;DGS;Capital Buffers;EU GDP;Vat Rate;Systemically Important Financial Institutions;Financial Deepening;EEA Country;CRD Iv;Macroprudential Measures;FX Rate