Public Policy & Financial Economics:Essays in Honor of Professor George G Kaufman for His Lifelong Contributions to the Profession
Edited by Douglas Evanoff,
Anastasios Malliaris and
George Kaufman
in World Scientific Books from World Scientific Publishing Co. Pte. Ltd.
Abstract:
The central goal of this volume was to assemble outstanding scholars and policymakers in the field of financial markets and institutions and have them articulate significant market developments in their particular areas of expertise during the past few decades.
Keywords: Financial Markets; Financial Policy; Resolution; Financial Economics; Regulation; Asset Bubbles; Market Structure and Liquidity; Central Banking; Financial Regulation (search for similar items in EconPapers)
JEL-codes: G38 (search for similar items in EconPapers)
Date: 2018
ISBN: 9789813229549
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https://www.worldscientific.com/worldscibooks/10.1142/10697 (text/html)
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Chapters in this book:
- Ch 1 Public Policy and Financial Economics: Comments to Honor George G. Kaufman , pp 3-10

- Charles Evans
- Ch 2 57 Years of Banking Changes and Ideas , pp 11-16

- Alex J. Pollock
- Ch 3 Theory vs. Practice — and Promise — in Banking and Financial Regulation , pp 17-30

- Harvey Rosenblum
- Ch 4 The Changing Fortunes of Central Banking , pp 33-46

- C. A. E. Goodhart
- Ch 5 Financial Safety Nets: The Good, The Bad, and The Ugly , pp 47-70

- Edward Kane
- Ch 6 Systemic Risk: Taming the Two 800 Pound Gorillas in the Room , pp 71-92

- Charles W. Calomiris
- Ch 7 Shadowing Capital Regulation: 1986–2015 , pp 93-113

- Richard J. Herring
- Ch 8 The Fed and Structural Reforms to Reduce Interconnectedness and Promote Financial Stability , pp 117-146

- Robert Eisenbeis
- Ch 9 The New Failure Resolution Regulation: The Good, The Bad, and The Unknowable , pp 147-164

- Robert R. Bliss and Franklin R. Edwards
- Ch 10 Monetary and Other Policy Problems , pp 165-176

- Allan Meltzer
- Ch 11 Defining, Measuring, and Mitigating Systemic Risk at Large Insurance Companies , pp 177-195

- Richard Rosen and Thanases Plestis
- Ch 12 Asset Price Bubbles and Public Policy , pp 197-246

- Douglas Evanoff and Anastasios Malliaris
- Ch 13 The New Realities of Market Structure and Liquidity: Where Have We Been? Where are We Going? , pp 247-263

- Chester Spatt
- Ch 14 Affordable Housing Goals, the Financial Crisis, and the Efficient Market Hypothesis , pp 265-276

- Peter J. Wallison
- Ch 15 Good and Bad Lessons in Finance from New Information , pp 277-290

- Robert Litan
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