Although many regulator and industrial reports on the lessons learned from the recent market turmoil have appeared recently, they still tend to be plagued by the silo-approach, discussing only specific issues independent of other important issues. Besides, they tend to be silent on the regulators' function to be addressed after the turmoil. This book covers all the issues which have been highlighted by the recent financial turmoil in a comprehensive and integrated way, and also steps into the area of how supervisors as well as banks appropriately share the responsibilities of absorbing additional stresses under the financial shock.
Product Identifiers
Publisher
John Wiley and Sons Ltd
ISBN-13
9780470825372
eBay Product ID (ePID)
94480316
Product Key Features
Book Title
Post-Crisis Risk Management: Bracing for the Next Perfect Storm