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Book Title: Research Handbook on Crisis Management in the Banking Sector
Editor(s): Haentjens, Matthias; Wessels, Bob
Publisher: Edward Elgar Publishing
ISBN (hard cover): 9781783474226
Section Title: Contents
Number of pages: 6
Extract:
Contents
List of figures xi
List of tables xii
Contributors xiii
Preface xvi
Table of cases xviii
Table of statutes xxi
Table of statutory materials xxxv
PART I INTRODUCTORY CHAPTERS
1 Too big to fail: A policy's beginning, middle and end (?) 3
Thomas F. Huertas
1.1 Introduction 3
1.2 Too big to fail removes market discipline 4
1.3 The birth of `too big to fail' 6
1.4 The lesser of two evils 7
1.5 Making financial market infrastructures robust 7
1.6 Rating agencies formalise notion of implicit support 8
1.7 Crisis demonstrates need for reform 8
1.8 Reform gets under way 9
1.9 The FSB establishes key attributes for resolution regimes 10
1.10 Implementing the key attributes 12
1.11 Making the key attributes operational 14
References 22
2 Central banks, systemic lending and collateral markets 24
José Gabilondo
2.1 Introduction 24
2.2 The interbank funding channel 25
2.3 Systemic lending 29
2.4 Implications for central bank structure and governance 33
2.5 Conclusion 41
3 A fiscal backstop to the banking system 42
Dirk Schoenmaker
3.1 Introduction 42
3.2 Governance framework 44
3.3 The need for a fiscal backstop 47
3.4 Resolution and fiscal backstop in Europe 50
3.5 Conclusions 53
References 53
v
vi Research handbook on crisis management in the banking sector
4 Large scale bank insolvencies and the challenges ahead 55
Andrew Campbell and Paula Moffatt
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URL: http://www.austlii.edu.au/au/journals/ELECD/2015/1230.html