【次の金融危機への準備:政策、ツールとモデル】
Preparing for the Next Financial Crisis:Policies, Tools and Models '17
内容
目次
1.Introduction; 2. Non-Standard Monetary Policy and Financial Stability: Developing an Appropriate Macro-Financial Policy Mix; 3.Financial innovation and financial stability: an introduction; 4. Post-Crisis changes in U.S. bank prudential regulation; 5. Financial markets and policy through the lens of macroeconomics; 6. Investment Doctrines for Banks, from Real Bills to Post-Crisis Reforms; 7. Stress Testing in Banking: A Critical Review; 8. Making sense of the EU wide stress test - comparing SRISK and the ECB/EBA measures of bank vulnerability
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