Descripción del título

Monografía
monografia Rebiun21872786 https://catalogo.rebiun.org/rebiun/record/Rebiun21872786 181121s2017 enka b 001 0 eng 9781107185593 hardback) 1107185599 hardback) S9M spa rda S9M 338.124.4 Preparing for the next financial crisis policies, tools and models edited by Esa Jokivuolle, Radu Tunaru Cambridge, United Kingdom New York Cambridge University Press 2017 Cambridge, United Kingdom New York Cambridge, United Kingdom New York Cambridge University Press XVI, 187 p. il. 24 cm XVI, 187 p. Text txt rdacontent unmediated n rdamedia volume nc rdacarrier Incluye referencias bibliográficas e índice Introduction / Esa Jokivuolle and Radu Tunaru -- Non-standard monetary policy and financial stability: developing an appropriate macrofinancial policy mix / Huw Pill and Lucrezia Reichlin -- Financial innovation and financial stability: an introduction / Seppo Honkapohja -- Post-crisis changes in US bank prudential regulation / Larry D. Wall -- Notes on the interaction between financial markets and the macroeconomy: financial markets and policy through the lens of macroeconomics / Jouko Vilmunen -- Investment doctrines for banks, from real bills to post-crisis reforms / Juha Tarkka -- Stress testing in banking: a critical review / Adrian Pop -- Making sense of the EU wide stress test - comparing SRISK and the ECB/EBA measures of bank vulnerability / Timotej Homa, Heinrich Kick and Carmelo Salleo -- The role of personality in financial decisions and financial crises / Thomas Noe and Nir Vulkan -- Model Apocalypto / Radu Tunaru Crisis económicas Depressions Jokivuolle, Esa ed. lit Tunaru, Radu ed. lit