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The Banking Crisis Handbook
Shadow Banks and the Financial Crisis of 2007–2008
edited-book
Author(s):
Jason Hsu
,
Max Moroz
Publication date
(Online):
June 08 2010
Publisher:
CRC Press
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Remedies to the replicability crisis
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Bank Runs, Deposit Insurance, and Liquidity
Douglas W. Diamond
,
Philip H. Dybvig
(1983)
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Optimal Financial Crises
Douglas Gale
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Franklin Allen
(1998)
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BANKING PANICS AND BUSINESS CYCLES *
Gary Gorton
(1988)
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Book Chapter
Publication date (Print):
December 2009
Publication date (Online):
June 08 2010
Pages
: 39-56
DOI:
10.1201/9781439818541-c3
SO-VID:
2330e286-bd08-40c6-85e3-ae98e86621a2
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Book chapters
pp. 1
Banking Gross Negligence and Shadow Banking System
pp. 3
The Banking Crisis of the New Millennium—Why It Was Inevitable
pp. 21
The Effect of Monetary Policy on Stock Prices
pp. 39
Shadow Banks and the Financial Crisis of 2007–2008
pp. 57
Ineffective Risk Management in Banking
pp. 61
The Banking Crisis of the New Milennium-Why It Was Inevitable
pp. 79
The Effect of Monetary Policy on Stock Prices: The Subprime Mortgage Crisis
pp. 95
U.S. Mortgage Crisis
pp. 97
Shadow Banks and the Financial Crisis of 2007-2008
pp. 115
Ineffective Risk Management in Banking: Bold Ignorance or Gross Negligence?
pp. 117
Regulation and Financial Stability in Laissez-Faire Hong Kong
pp. 135
Auction Rate Securities
pp. 151
The Banking Crisis and the Nation-State
pp. 153
5CHAPTER ◾ U.S. Mortgage Crisis: Subprime or Systemic?
pp. 161
The Banking Crisis and the Insurance Markets
pp. 175
CHAPTER ◾ Regulation and Financial Stability in Laissez-Faire Hong Kong: A Reassuring Record
pp. 183
The Role of Hedge Funds in the Banking Crisis
pp. 193
7CHAPTER ◾ Auction Rate Securities: Another Victim of the Credit Crisis
pp. 203
Solving the Banking Crisis
pp. 209
8CHAPTER ◾ The Banking Crisis and the Nation-State
pp. 217
Hedge Funds, Financial Leverage, and the 2008 Systematic Crisis
pp. 219
9CHAPTER ◾ The Banking Crisis and the Insurance Markets
pp. 237
Evaluation of Evidence for Banking Equity Market Volatility in the Emerging Economy of China
pp. 241
1CHAPTER 0 ◾ The Role of Hedge Funds in the Banking Crisis: Victim or Culprit?
pp. 249
Global, European, and Emerging Markets' Perspectives
pp. 251
Global Perspective on the Banking Crisis and Recovery
pp. 261
1CHAPTER 1 ◾ Solving the Banking Crisis: A Private Capital Solution
pp. 275
Hedge Funds, Financial Leverage, and the 2008 Systematic Crisis: Are They Victims or Killers?
pp. 275
Overcoming Institutional Myopia and Bankers’ Self-Dealing Behavior
pp. 295
1CHAPTER 3 ◾ Evaluation of Evidence for Banking Equity Market Volatility in the Emerging Economy of China
pp. 295
The Millennium’s Credit Crunch and Lender of Last Resort
pp. 309
Global Perspective on the Banking Crisis and Recovery: An Analysis of Domestic vs. Foreign Banks
pp. 317
Emerging Stock Markets and the Current Financial Crisis
pp. 333
Overcoming Institutional Myopia and Bankers' Self-Dealing Behavior: Coping with the Impact of the Global Financial Crisis on European Securitization Markets
pp. 335
The Financial Crisis and Loan Impairment Provisioning in Asian Banks
pp. 353
Currency and Maturity Mismatches in Latin America
pp. 353
The Millennium's Credit Crunch and Lender of Last Resort: A Review of the Literature
pp. 373
Dangers and Opportunities for the Russian Banking Sector
pp. 375
Emerging Stock Markets and the Current Financial Crisis: Emergence of a New Puzzle?
pp. 393
The Financial Crisis and Loan Impairment Provisioning in Asian Banks
pp. 397
The Stability of the Australian Banking Sector
pp. 411
Currency and Maturity Mismatches in Latin America*
pp. 417
Why Have Australian Banks Survived the Recent Global Financial Crisis?
pp. 431
Dangers and Opportunities for the Russian Banking Sector: 2007-2008
pp. 437
Default Risk Codependence in the Global Financial System
pp. 455
The Stability of the Australian Banking Sector
pp. 455
The Implementation of MiFID in the Financial Crisis Context
pp. 475
Preventing Banking Crises, Bank Runs, Regulation, and Bailouts
pp. 475
Why Have Australian Banks Survived the Recent Global Financial Crisis?
pp. 477
Credit Derivatives and What Happened Next
pp. 489
Identifying Bank Run Signals through Sociological Factors
pp. 495
Default Risk Codependence in the Global Financial System: Was the Bear Stearns Bailout Justified?
pp. 503
Bank Default Risk in the United States and the United Kingdom
pp. 513
The Implementation of MiFID in the Financial Crisis Context: An Ethnographic Research Conducted in Greece
pp. 521
Remuneration, Risk, and Financial Crisis
pp. 535
Credit Derivatives and What Happened Next: Analysis and Recommendations
pp. 539
Some Overlooked Ethical Aspects of Bailing Out Banks and the Philosophy of Frederic Bastiat
pp. 547
Identifying Bank Run Signals through Sociological Factors: An Empirical Research in the Geneva Area
pp. 561
Bank Default Risk in the United States and the United Kingdom
pp. 579
Remuneration, Risk, and Financial Crisis
pp. 597
Some Overlooked Ethical Aspects of Bailing Out Banks and the Philosophy of Frederic Bastiat
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