The Next Systemic Financial Crisis – Where Might it Come From? : : Financial Stability in a Polycrisis World / / ed. by Andreas Dombret, Patrick Kenadjian.
Where might the next systemic financial crisis come from? And how do we achieve financial stability in a poly crisis world? This book addresses macroeconomic factors, crypto assets, non-bank financial institutions and regulated financial service providers, keeping in mind that each sector can intera...
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Superior document: | Title is part of eBook package: De Gruyter DG Plus DeG Package 2024 Part 1 |
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Place / Publishing House: | Berlin ;, Boston : : De Gruyter, , [2024] ©2024 |
Year of Publication: | 2024 |
Language: | English |
Series: | Institute for Law and Finance Series ;
27 |
Online Access: | |
Physical Description: | 1 online resource (XXXVIII, 178 p.) |
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Table of Contents:
- Frontmatter
- Foreword
- Preface
- Contents
- Introduction
- The Authors
- Daring to know in Times of Uncertainty and structural Shifts
- I. Macroeconomic Factors
- Macro-Financial Challenges
- Systemic Risks posed by the Non-Bank Sector, and the Need for Policy Action
- (Credible, Comparable, Comprehensive) Transition Planning beats no Transition Planning
- Financial Markets and monetary Policy in the Eurozone Economy – Outlook and Risks ahead
- The Solution for a polycrisis World: bold Action and bold Actors
- II. Crypto Assets and Cybersecurity
- Tokenization and AI in Banking: how Risk and Compliance can facilitate responsible Innovation
- The giddy Pace of Change
- How should we approach Crypto Assets
- III. NBFIs
- Policy Approaches towards NBFI Vulnerabilities
- We need a holistic Perspective on Liquidity Stress
- Building the financial Stability of Investment Funds
- Reforming MMFs and Bond OEFs is good, but providing reliable Liquidity to the Treasury Market is better
- IV. Regulated financial Service Providers
- The Risks from false Illusions in financial Policy Making
- A “Five C” Approach to managing Risk. Proactively navigating the evolving Risk Landscape
- Higher Interest, Inflation and lower Output: Challenges for the EU Banking Sector
- Key systemic Risks faced by global Banks
- Fostering stable Banks in the Union
- The broad Context in January 2023 for financial Stability and the Risks in a poly-crisis World