Umgang mit systemischen Risiken

Selected for the Global Economic Symposium 2011

The recent financial crisis revealed once more how systemic risk in the banking system may lead to huge economic downturns. Many of the problems leading to the crisis have been discussed and equally many suspects have been identified (e.g., investment banks, central banks, rating agencies, regulators and the economics profession). Given this detailed identification of the problems in the financial system, remarkably little has been done to avoid future crises, the recent changes in Basel III being a notable exception. However, it should be clear that changing capital requirements alone will not be sufficient to stabilize financial markets and avoid future crises.

Wesentliches Schlagwort: Systemic risk

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Wesentliches Schlagwort: Systemrisiko

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Literaturliste

Systemic risk : changing the regulatory perspective / Jean-Charles Rochet.

  • Systemic risk : changing the regulatory perspective / Jean-Charles Rochet.
    (2010) In: International journal of central banking. – Frankfurt, M.. – Bd. 6.2010, 4, (Dez.2010) S. 259-276.

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How to bring in systemic risk considerations into financial regulation and supervision? / Jukka Vesala.

  • How to bring in systemic risk considerations into financial regulation and supervision? / Jukka Vesala.
    (2010) In: The quest for stability. – Vienna. – 2010, S. 15-29.

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A tax on systemic risk / by Viral V. Acharya, Lasse H. Pedersen, Thomas Philippon and Matthew Richardson.

  • A tax on systemic risk / by Viral V. Acharya, Lasse H. Pedersen, Thomas Philippon and Matthew Richardson.
    (2010) In: Post-crisis regulatory reforms to secure financial stability. – Seoul. – 2010, S. 3-39.

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Systemic importance: some simple indicators / Mathias Drehmann; Nikola Tarashev.

Pressure for changes in capital adequacy regulation of banks / Esa Jokivuolle; Jukka Vauhkonen.

Globalization and systemic risk / ed. by Douglas D. Evanoff ….

Too interconnected to fail : financial contagion and systemic risk in network model of CDS and other credit enhancement obligations of US banks / Sheri Markose, Simone Giansante, Mateusz Gatkowski and Ali Rais Shaghaghi.

  • Too interconnected to fail : financial contagion and systemic risk in network model of CDS and other credit enhancement obligations of US banks / Sheri Markose, Simone Giansante, Mateusz Gatkowski and Ali Rais Shaghaghi.
    (2010) Discussion paper series / University of Essex, Department of Economics ; 683; Online-Ressource (60 S.).

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A theory of systemic risk and design of prudential bank regulation / Viral V. Acharya.

  • A theory of systemic risk and design of prudential bank regulation / Viral V. Acharya.
    (2009) In: Journal of financial stability. – Bd. 5.2009, 3, (Sep.2009) S. 224-255.

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  • A theory of systemic risk and design of prudential bank regulation / Viral V. Acharya.
    (2009) Discussion paper series / Centre for Economic Policy Research ; 7164 : Financial economics; 48 S.

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Implementing the macroprudential approach to financial regulation and supervision / Claudio Borio.

  • Implementing the macroprudential approach to financial regulation and supervision / Claudio Borio.
    (2011) In: The financial crisis and the regulation of finance. – 2011, S. 101-117.

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  • Implementing the macroprudential approach to financial regulation and supervision / Claudio Borio.
    (2009) In: Financial stability review . – Bd. 13.2009, (Sep.2009) S. 31-41.

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The fundamental principles of financial regulation / Markus Brunnermeier; Andrew Crockett; Charles A Goodhart; Avinash Persaud; Hyun Song Shin.

  • The fundamental principles of financial regulation / Markus Brunnermeier; Andrew Crockett; Charles A Goodhart; Avinash Persaud; Hyun Song Shin.
    (c2009) Geneva reports on the world economy ; 11; XXIII, 110 S.

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Financial market supervision: the road ahead after de Larosière / Karel Lannoo.

  • Financial market supervision: the road ahead after de Larosière / Karel Lannoo.
    (2009) In: Governing the Eurozone. – Berlin. – 2009, S. 62-73.

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Financial reform : a framework for financial stability / Group of Thirty.

Banking-on-the-average rules / Hans Gersbach and Volker Hahn.

  • Banking-on-the-average rules / Hans Gersbach and Volker Hahn.
    (2010) Discussion paper series / Centre for Economic Policy Research ; 7819 : Financial economics; 20 S.

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  • Banking-on-the-average rules / Hans Gersbach and Volker Hahn.
    (2009) Economics working paper series / CER-ETH, Center of Economic Research at ETH Zurich ; 107; Online-Ressource (PDF-Datei: 18 S.).

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Financial market stability in the European Union : enhancing regulation and supervision / by Jeremy Lawson, Sebastian Barnes and Marte Sollie.

  • Financial market stability in the European Union : enhancing regulation and supervision / by Jeremy Lawson, Sebastian Barnes and Marte Sollie.
    (2009) Economics Department woking papers / Organisation for Economic Co-operation and Development ; 670; 44 S.

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Some preliminary proposals for re-regulating financial systems / Mario Tonveronachi; Elisabetta Montanaro.

  • Some preliminary proposals for re-regulating financial systems / Mario Tonveronachi; Elisabetta Montanaro.
    (2009) Quaderni del Dipartimento di Economia Politica ; 553; Online-Ressource (17 S.).

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