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Book Title: Managing Risk in the Financial System
Editor(s): LaBrosse, Raymond John; Olivares-Caminal, Rodrigo; Singh, Dalvinder
Publisher: Edward Elgar Publishing
ISBN (hard cover): 9780857933812
Section Title: Contents
Number of pages: 3
Extract:
Contents
List of contributors viii
Foreword: The 2010 Banking Law Symposium on Managing
Systemic Risk by Charles Enoch x
Special Address: The deposit insurer's role in transitioning from
a government deposit guarantee by Jean Pierre Sabourin xix
Preface: It has been `A Hard Day's Night'
by John Raymond LaBrosse, Rodrigo Olivares-Caminal and
Dalvinder Singh xxix
Acknowledgements xlvi
PART I SYSTEMIC RISK
1. Investor behaviour in the period before the 200708 financial
crisis 3
Richard J. Rosen
2. The nature of systemic risk 19
Jack Selody
3. The government as guarantor of last resort: benefits, costs
and the case for premium charges 32
Sebastian Schich
4. The Troubled Asset Relief Program: has forbearance as far
as the eye can see saved the US economy? 55
Gillian G.H. Garcia
5. Why is the Canadian banking system so remarkably stable?
A comparative analysis with the US 81
Jean Roy, Rima Turk-Ariss and Yenni Redjah
6. Systemic contingent claim analysis a model approach to
systemic risk 93
Dale F. Gray and Andreas A. Jobst
7. Tax and the city: the UK's proposals for a bank levy 111
John Snape
v
vi Managing risk in the financial system
PART II SOVEREIGN DEBT
8. Iceland's financial disaster and its fiscal impact 133
Arnór Sighvatsson and Gunnar Gunnarsson
9. The Greek tragedy: is there a Deus ex Machina? 155
Ioannis Kokkoris, Rodrigo Olivares-Caminal and
Kiriakos Papadakis
10. Restructuring a nation's debt 168
Lee C. Buchheit and ...
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URL: http://www.austlii.edu.au/au/journals/ELECD/2011/480.html