The Financial Crisis and the Regulation of Finance
Edited by Christopher Green,
Eric Pentecost and
Tom Weyman-Jones
in Books from Edward Elgar Publishing
Abstract:
The 2007–08 financial crisis has posed substantial challenges for bankers, economists and regulators: was it preventable, and how can such crises be avoided in future? This book addresses these questions. The Financial Crisis and the Regulation of Finance includes a comprehensive overview of the crisis and reviews the theory and practise of regulation in the UK and worldwide. The contributors – all international experts on financial markets and regulation – provide perspectives and analysis on macro-prudential regulation, the regulation of financial firms, and the role of shareholders and disclosure.
Keywords: Economics and Finance (search for similar items in EconPapers)
JEL-codes: F5 (search for similar items in EconPapers)
Date: 2011
ISBN: 9781849808705
References: View references in EconPapers View complete reference list from CitEc
Citations: View citations in EconPapers (14)
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Chapters in this book:
- Ch 1 Introduction

- Christopher Green, Eric Pentecost and Tom Weyman-Jones
- Ch 2 ‘The Day the Music Died’: The Financial Tsunami of 2007–09

- Christopher Green
- Ch 3 An Emerging Markets Perspective on the Recent Crisis

- Geoffrey Dennis
- Ch 4 Economic Evidence and Financial Regulation

- Peter Andrews
- Ch 5 The Economic Rationale for Financial Regulation Reconsidered: An Essay in Honour of David Llewellyn

- Richard J. Herring and Reinhard Schmidt
- Ch 6 Moral Hazard

- Charles Goodhart
- Ch 7 Implementing the Macroprudential Approach to Financial Regulation and Supervision

- Claudio Borio
- Ch 8 Rules for Money and Rules for Finance: A New Relationship After the Crisis?

- Franco Bruni
- Ch 9 Financial Crises from 1803 to 2009: The Crescendo of Moral Hazard

- Forrest Capie and Geoffrey Wood
- Ch 10 Early Intervention and Prompt Corrective Action in Europe

- David Mayes
- Ch 11 The World of Unintended Consequences: A Post-Mortem on Regulation Q and Prologue for the Future

- Robert Eisenbeis and George G. Kaufman
- Ch 12 UK Financial Reform Post Crisis: Is More Regulation the Answer?

- Shelagh Heffernan
- Ch 13 Asymmetries in Financial Information, Risk and Know-how: The Roles of Disclosure Rules, Financial Safety Nets and Market Discipline

- Morten Balling
- Ch 14 ‘The New Masters of the Universe’: Institutional Shareholder Engagement and the Regulation and Governance of Banks

- Andy Mullineux
- Ch 15 Minimizing Collateral Damage: Options for Financing Public–Private Partnerships in the Wake of the Financial Crisis

- Darrin Grimsey and Mervyn K. Lewis
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Persistent link: https://EconPapers.repec.org/RePEc:elg:eebook:14248
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