The Banking Sector Under Financial Stability: Volume 2
The Banking Sector Under Financial Stability recognises the critical importance of the banking sector with respect to financial stability risks, and considers the unique position of banks which by nature assume higher risks, existing within a low equity to total assets ratio.
Publication Date:
2018-12-04Book Series:
TPFSAuthor:
Chapters:
- Prelims
- Chapter 1 Banks, Risks and Risk Management
- Chapter 2 Banking Sector and Financial Stability
- Chapter 3 A Framework for Financial Stability Risk Assessment in Banks
- Chapter 4 Banks, Macroeconomic States, Asset Prices, Household Sector and Monetary Policy
- Chapter 5 Basel III
- Chapter 6 Microprudential and Macroprudential Regulation
- Chapter 7 Banks and Policies
- Chapter 8 Differences between US and European Union under Different Financial Perspectives
- Chapter 9 Some Practical Issues in Credit Risk Modelling
- References
- Index
