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Coping with Financial Fragility and Systemic Risk

  • Book
  • © 1995

Overview

Part of the book series: Financial and Monetary Policy Studies (FMPS, volume 30)

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Table of contents (25 chapters)

  1. Introduction

  2. Sources of Financial Fragility

  3. Private Sector Solutions

  4. Private and Regulatory Solutions: Discussion

  5. General Conference Papers

Keywords

About this book

Coping with Financial Fragility and Systemic Risk identifies and discusses the sources of perceived fragility in financial institutions and markets and its potential consequences throughout the economy. It then examines private sector solutions for dealing with systemic risk and mitigating the consequences. Finally, the book examines regulatory solutions to these problems.

Editors and Affiliations

  • University of Limburg, Maastricht, The Netherlands

    Harald A. Benink

Bibliographic Information

  • Book Title: Coping with Financial Fragility and Systemic Risk

  • Editors: Harald A. Benink

  • Series Title: Financial and Monetary Policy Studies

  • DOI: https://doi.org/10.1007/978-1-4757-2373-1

  • Publisher: Springer New York, NY

  • eBook Packages: Springer Book Archive

  • Copyright Information: Springer Science+Business Media New York 1995

  • Hardcover ISBN: 978-0-7923-9612-3Published: 31 January 1996

  • Softcover ISBN: 978-1-4419-5155-7Published: 03 December 2010

  • eBook ISBN: 978-1-4757-2373-1Published: 14 March 2013

  • Series ISSN: 0921-8580

  • Series E-ISSN: 2197-1889

  • Edition Number: 1

  • Number of Pages: VIII, 300

  • Topics: Finance, general, Macroeconomics/Monetary Economics//Financial Economics

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