Systemic Risk and Macroprudential Regulations: The Global Financial Crisis and Thereafter
• Author(s): Rabi N. Mishra | Christine Padua Jayaseelan • Publisher: Atlantic Publishers & Distributors (P) Ltd • Publisher Imprint: Atlantic • Subject: Business Management • BISAC: business and economics Systemic Risk and Macroprudential Regulations: The Global Financial Crisis and Thereafter delves into the evolution of financial stability and systemic risk in the wake of the Global Financial Crisis (GFC) and subsequent financial stress episodes. This revised edition combines theoretical insights with practical applications, offering a unique combination of policy discussions, expert perspectives and empirical case studies. Organised into four comprehensive parts, the book covers the evolution of systemic risk, the introduction of macroprudential policies, critical post-GFC reforms and the global dimensions of financial stability. With a focus on tools such as stress testing, Early Warning Systems (EWS) and cross-border cooperation, it offers a detailed analysis of how institutions are working to build resilience in the face of ever-evolving financial threats. Ideal for policymakers, regulators, academicians, students and financial analysts, this book offers vital insights into building a safer, more resilient financial system in today's interconnected world.
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- Hardcover — 1480.60 INR — Out of stock
AI Readiness
Good foundation, but some important product data is still missing.