The regulation of systemically rlevant banks: how governments should manage their exposure to banking system risk
Gespeichert in:
1. Verfasser: | |
---|---|
Weitere Verfasser: | |
Format: | Abschlussarbeit Buch |
Sprache: | English |
Veröffentlicht: |
Wiesbaden
Springer Gabler
[2018]
|
Schriftenreihe: | Finanzwirtschaft, Banken und Bankmanagement
Research |
Schlagworte: | |
Online-Zugang: | Inhaltstext http://www.springer.com/ Inhaltsverzeichnis |
Beschreibung: | XVI, 170 Seiten Illustrationen 24 cm x 16.8 cm |
ISBN: | 9783658238100 3658238100 9783658248673 |
Internformat
MARC
LEADER | 00000nam a22000008c 4500 | ||
---|---|---|---|
001 | BV045264045 | ||
003 | DE-604 | ||
005 | 20210302 | ||
007 | t | ||
008 | 181030s2018 gw a||| m||| 00||| eng d | ||
015 | |a 18,N37 |2 dnb | ||
016 | 7 | |a 1166435644 |2 DE-101 | |
020 | |a 9783658238100 |c Festeinband : circa EUR 117.69 (DE) (freier Preis), circa EUR 120.99 (AT) (freier Preis), circa CHF 121.00 (freier Preis) |9 978-3-658-23810-0 | ||
020 | |a 3658238100 |9 3-658-23810-0 | ||
020 | |a 9783658248673 |c Softcover Reprint |9 978-3-658-24867-3 | ||
024 | 3 | |a 9783658238100 | |
028 | 5 | 2 | |a Bestellnummer: 978-3-658-23810-0 |
028 | 5 | 2 | |a Bestellnummer: 86987523 |
035 | |a (OCoLC)1077484563 | ||
035 | |a (DE-599)DNB1166435644 | ||
040 | |a DE-604 |b ger |e rda | ||
041 | 0 | |a eng | |
044 | |a gw |c XA-DE-HE | ||
049 | |a DE-355 |a DE-M382 | ||
084 | |a QK 950 |0 (DE-625)141688: |2 rvk | ||
100 | 1 | |a Moenninghoff, Sebastian C. |e Verfasser |0 (DE-588)1175153184 |4 aut | |
245 | 1 | 0 | |a The regulation of systemically rlevant banks |b how governments should manage their exposure to banking system risk |c Sebastian C. Moenninghoff ; with a foreword by Hon.-Prof. Dr. Axel Wieandt |
264 | 1 | |a Wiesbaden |b Springer Gabler |c [2018] | |
300 | |a XVI, 170 Seiten |b Illustrationen |c 24 cm x 16.8 cm | ||
336 | |b txt |2 rdacontent | ||
337 | |b n |2 rdamedia | ||
338 | |b nc |2 rdacarrier | ||
490 | 0 | |a Finanzwirtschaft, Banken und Bankmanagement | |
490 | 0 | |a Research | |
502 | |b Dissertation |c Otto Beisheim School of Management |d 2017 | ||
650 | 0 | 7 | |a Bank |0 (DE-588)4004436-1 |2 gnd |9 rswk-swf |
650 | 0 | 7 | |a Stabilitätspolitik |0 (DE-588)4077791-1 |2 gnd |9 rswk-swf |
650 | 0 | 7 | |a Systemrisiko |0 (DE-588)1164452932 |2 gnd |9 rswk-swf |
650 | 0 | 7 | |a Regulierung |0 (DE-588)4201190-5 |2 gnd |9 rswk-swf |
653 | |a Bank Bailouts | ||
653 | |a Bank Regulation | ||
653 | |a Financial Crises | ||
653 | |a Financial Stability | ||
653 | |a Public Policy | ||
653 | |a Systemic Relevance | ||
653 | |a Unintended Consequences | ||
653 | |a KCP | ||
653 | |a KJM | ||
655 | 7 | |0 (DE-588)4113937-9 |a Hochschulschrift |2 gnd-content | |
689 | 0 | 0 | |a Bank |0 (DE-588)4004436-1 |D s |
689 | 0 | 1 | |a Systemrisiko |0 (DE-588)1164452932 |D s |
689 | 0 | 2 | |a Regulierung |0 (DE-588)4201190-5 |D s |
689 | 0 | 3 | |a Stabilitätspolitik |0 (DE-588)4077791-1 |D s |
689 | 0 | |5 DE-604 | |
700 | 1 | |a Wieandt, Axel |d 1966- |0 (DE-588)171200691 |4 aui | |
710 | 2 | |a Springer Fachmedien Wiesbaden |0 (DE-588)1043386068 |4 pbl | |
776 | 0 | 8 | |i Erscheint auch als |n Online-Ausgabe |z 978-3-658-23811-7 |
856 | 4 | 2 | |m X:MVB |q text/html |u http://deposit.dnb.de/cgi-bin/dokserv?id=96ebe869bc794f52853115371c3bd445&prov=M&dok_var=1&dok_ext=htm |3 Inhaltstext |
856 | 4 | 2 | |m X:MVB |u http://www.springer.com/ |
856 | 4 | 2 | |m DNB Datenaustausch |q application/pdf |u http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&local_base=BVB01&doc_number=030651933&sequence=000001&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA |3 Inhaltsverzeichnis |
999 | |a oai:aleph.bib-bvb.de:BVB01-030651933 |
Datensatz im Suchindex
_version_ | 1804179022220886016 |
---|---|
adam_text | TABLE OF CONTENTS
1.
INTRODUCTION.................................................................................................................
1
2. CONSEQUENCES OF GOVERNMENT GUARANTEES FOR BANKS - A SURVEY OF THE
TBTF
DOCTRINE..................................................................................................................................
3
2.1
INTRODUCTION....................................................................................................................
3
2.2 SURVEYS OF GOVERNMENT GUARANTEES FOR
BANKS...........................................................
2.3 TBTF AS A CONSEQUENCE OF GOVERNMENT GUARANTEES
.................................................
2.3.1 CONSEQUENCES OF GOVERNMENT GUARANTEES
.........................................................
2.3.2 THE LOGIC OF THE TBTF DOCTRINE
.........................................................................
2.3.3 ALTERNATIVE THEORIES IN THE CONTEXT OF GOVERNMENT GUARANTEES FOR
BANKS........
2.3.4 EMPIRICAL APPROACHES TO MEASURING THE PREVALENCE OF
TBTF........................10
2.4 GOVERNMENT EXPOSURE AND SUBSIDIES
.........................................................................
11
2.4.1 CONTINGENT CLAIMS APPROACH AND ABSOLUTE SUBSIDY
ESTIMATES.........................11
2.4.2 FUNDING ADVANTAGES BASED ON CONTINGENT CLAIMS APPROACH AND
RATING-IMPLIED
SPREADS.......................................................................................13
2.4.3 COSTS OF PAST RESCUE MEASURES
.........................................................................
15
2.4.4 SUMMARY OF EMPIRICAL EVIDENCE OF GOVERNMENT EXPOSURE AND SUBSIDIES
....
16
2.5 COMPETITIVE DISTORTIONS FROM GOVERNMENT
GUARANTEES............................................17
2.5.1 DIMENSIONS OF COMPETITIVE
DISTORTIONS.............................................................17
2.5.2 EMPIRICAL APPROACHES TO MEASURE GUARANTEE-RETURN RELATIONSHIPS
.................
19
2.5.3 EMPIRICAL EVIDENCE OF COMPETITIVE DISTORTIONS
...............................................
21
2.5.3.1 COMPETITIVE DISTORTIONS BY INDIVIDUAL INSTITUTION SYSTEMIC
RELEVANCE...............................................................................................21
2.5.3.2 COMPETITIVE DISTORTIONS BY SCOPE OF ACTIVITIES COVERED BY
GUARANTEES..............................................................................................
30
2.5.3.3 COMPETITIVE DISTORTIONS BY GEOGRAPHY
...............................................
31
2.5.4 SUMMARY OF EMPIRICAL EVIDENCE OF COMPETITIVE DISTORTIONS
..........................
33
2.6 GOVERNMENT GUARANTEES AND RISK TAKING
.................................................................
34
2.6.1 THE CONCEPT OF MORAL HAZARD IN
BANKING.........................................................34
2.6.2 EMPIRICAL APPROACHES BASED ON GUARANTEE-RISK RELATIONSHIPS
........................
36
2.6.3 EMPIRICAL FINDINGS BASED ON GUARANTEE-RISK RELATIONSHIPS
.............................
36
2.6.4 SUMMARY OF EMPIRICAL EVIDENCE OF BANK RISK TAKING BASED ON
GUARANTEE-RISK
RELATIONSHIPS..............................................................................39
2.6.5 EMPIRICAL APPROACHES BASED ON RISK-RETURN RELATIONSHIPS
..............................
41
2.6.6 EMPIRICAL FINDINGS BASED ON RISK-RETURN
RELATIONSHIPS....................................42
2.6.7 SUMMARY OF EMPIRICAL EVIDENCE OF BANK RISK TAKING BASED ON
RISK-RETURN
RELATIONSHIPS.......................................................................................................
44
2.7 CONCLUSION
...............................................
45
OO 00 ON O
N
I S
*
3. GOVERNM ENT G UARANTEES AND BANKING SYSTEM RISK -
A REGULATORY FRAM EW ORK FROM AN EXPOSURE PERSPECTIVE
..........................................
47
3.1
INTRODUCTION..................................................................................................................
47
3.2 BANKING SYSTEM EXPOSURE FROM A CREDIT RISK PERSPECTIVE
....................................
49
3.2.1 FUNDAMENTALS OF AN EXPOSURE PERSPECTIVE FOR BANKING SYSTEM RISK
..............
49
3.2.2 STRUCTURAL CREDIT RISK MODELING IN REGULATORY CAPITAL
DETERMINATION
.............
53
3.2.3 APPLICATION OF STRUCTURAL CREDIT RISK MODELS TO GOVERNMENT
GUARANTEES FOR
BANKS....................................................................................................................
54
3.2.4 CREDIT RISK COMPONENTS OF BANKING SYSTEM
EXPOSURE....................................56
3.2.4.1 PROBABILITY OF DISTRESS
...........................................................................
57
3.2.4.2 EXPOSURE AT
DISTRESS...............................................................................57
3.2.4.3 LOSS GIVEN
DISTRESS................................................................................58
3.2.5 AN EXPOSURE-BASED FRAMEWORK OF PRINCIPLE POLICY CHOICES
...........................
63
3.3 BANKING SYSTEM EXPOSURE FROM A SOVEREIGN PORTFOLIO PERSPECTIVE
......................
65
3.3.1 INTRODUCTION TO SOVEREIGN PORTFOLIO
MANAGEMENT............................................65
3.3.2 MACROECONOMIC TRADEOFFS IMPLIED BY REGULATORY POLICY CHOICES
..................
66
3.3.3 BANKING SYSTEM EXPOSURE MANAGEMENT FROM A PORTFOLIO PERSPECTIVE
..........
68
3.4 REGULATORY POLICY OPTIONS AND THEIR ECONOMIC TRADEOFFS
....................................
71
3.4.1 MANAGEMENT OF PROBABILITY OF DISTRESS
............................................................
71
3.4.1.1 ZERO EXPOSURE: NARROW BANKING WITH ALL-EQUITY FINANCED BANKS
.....
71
3.4.1.2 LIMITED EXPOSURE: MINIMUM CAPITAL AND LIQUIDITY REQUIREMENTS
....
73
3.4.2 MANAGEMENT OF LOSS GIVEN
DISTRESS...................................................................77
3.4.2.1 ZERO EXPOSURE: NARROW BANKING WITH ASSETS RESTRICTED TO
GOVERNMENT SECURITIES
...........................................................................
77
3.4.2.2 LIMITED EXPOSURE: STRUCTURAL
RESTRICTIONS............................................81
3.4.2.3 LIMITED EXPOSURE: PIGOVIAN TAX
...........................................................
82
3.4.2.4 LIMITED EXPOSURE: RESOLUTION POWERS AND WIND-DOWN AUTHORITIES
..84
3.4.3 MANAGEMENT OF EXPOSURE AT
DISTRESS.................................................................86
3.4.3.1 ZERO EXPOSURE: FREE
BANKING................................................................86
3.4.3.2 LIMITED EXPOSURE: BAIL-INABLE
CLAIMS..................................................87
3.4.3.3 FULL EXPOSURE: NATIONALIZATION OF THE BANKING SYSTEM
.....................
90
3.4.4 GROWTH-STABILITY
TRADEOFF...................................................................................91
3.4.5 EXPOSURE FACTOR INTERACTION AND INTERCONNECTIONS
...........................................
94
3.5 DISCUSSION AND
CONCLUSION..........................................................................................
96
3.5.1 INSTITUTIONAL DESIGN, FINANCIAL SYSTEM STRUCTURE AND INTERNATIONAL
POLICY
.....
96
3.5.2 THE NEW REGULATION DEALING WITH GLOBAL SYSTEMICALLY IMPORTANT B
ANKS
....
99
3.5.3 RESULTS, LIMITATIONS AND FUTURE
RESEARCH..........................................................100
3.5.4
CONCLUSION.........................................................................................................102
4. EM PIRICAL EVIDENCE FROM THE NEW INTERNATIONAL REGULATION DEALING
WITH
GLOBAL SYSTEMICALLY IM PORTANT B
ANKS..........................................................................105
4.1
INTRODUCTION..................................................................................................................
105
4.2 G-SIB REGULATION AND
HYPOTHESES...........................................................................107
4.2.1 EXPLICIT AND IMPLICIT GOVERNMENT GUARANTEES
................................................
1OE7
4.2.2 NEW G-SIB
REGULATION.....................................................................................
108
4.2.3
HYPOTHESES.......................................................................................................
109
4.3 DATA AND
METHODOLOGY...............................................................................................110
4.3.1
SAMPLE...............................................................................................................110
4.3.1.1 SAMPLE
COMPILATION.............................................................................110
4.3.1.2 SUB-SAMPLE DEFINITIONS
.......................................................................
I L L
4.3.1.3 G-SIB
DESIGNATION...............................................................................I
L L
4.3.2 EVENT
DATES........................................................................................................
114
4.3.3
METHODOLOGY.....................................................................................................
115
4.3.3.1 ABNORMAL RETURN
CALCULATION...............................................................115
4.3.3.2 TEST
STATISTICS.......................................................................................
117
4.4 EMPIRICAL
RESULTS.......................................................................................................
118
4.4.1 OVERALL
RESULTS...................................................................................................119
4.4.2 REGULATORY
ANNOUNCEMENTS..............................................................................120
4.4.3 DESIGNATION
ANNOUNCEMENTS............................................................................123
4.4.4 CROSS-SECTIONAL ANALYSIS OF G-SIB RETURNS
.....................................................
125
4.5
CONCLUSION..................................................................................................................130
5.
CONCLUSION.........................................................................................................................
133
BIBLIOGRAPHY............................................................................................................................
137
LIST OF
APPENDICES...................................................................................................................151
APPENDIX...................................................................................................................................153
|
any_adam_object | 1 |
author | Moenninghoff, Sebastian C. |
author2 | Wieandt, Axel 1966- |
author2_role | aui |
author2_variant | a w aw |
author_GND | (DE-588)1175153184 (DE-588)171200691 |
author_facet | Moenninghoff, Sebastian C. Wieandt, Axel 1966- |
author_role | aut |
author_sort | Moenninghoff, Sebastian C. |
author_variant | s c m sc scm |
building | Verbundindex |
bvnumber | BV045264045 |
classification_rvk | QK 950 |
ctrlnum | (OCoLC)1077484563 (DE-599)DNB1166435644 |
discipline | Wirtschaftswissenschaften |
format | Thesis Book |
fullrecord | <?xml version="1.0" encoding="UTF-8"?><collection xmlns="http://www.loc.gov/MARC21/slim"><record><leader>03028nam a22006978c 4500</leader><controlfield tag="001">BV045264045</controlfield><controlfield tag="003">DE-604</controlfield><controlfield tag="005">20210302 </controlfield><controlfield tag="007">t</controlfield><controlfield tag="008">181030s2018 gw a||| m||| 00||| eng d</controlfield><datafield tag="015" ind1=" " ind2=" "><subfield code="a">18,N37</subfield><subfield code="2">dnb</subfield></datafield><datafield tag="016" ind1="7" ind2=" "><subfield code="a">1166435644</subfield><subfield code="2">DE-101</subfield></datafield><datafield tag="020" ind1=" " ind2=" "><subfield code="a">9783658238100</subfield><subfield code="c">Festeinband : circa EUR 117.69 (DE) (freier Preis), circa EUR 120.99 (AT) (freier Preis), circa CHF 121.00 (freier Preis)</subfield><subfield code="9">978-3-658-23810-0</subfield></datafield><datafield tag="020" ind1=" " ind2=" "><subfield code="a">3658238100</subfield><subfield code="9">3-658-23810-0</subfield></datafield><datafield tag="020" ind1=" " ind2=" "><subfield code="a">9783658248673</subfield><subfield code="c">Softcover Reprint</subfield><subfield code="9">978-3-658-24867-3</subfield></datafield><datafield tag="024" ind1="3" ind2=" "><subfield code="a">9783658238100</subfield></datafield><datafield tag="028" ind1="5" ind2="2"><subfield code="a">Bestellnummer: 978-3-658-23810-0</subfield></datafield><datafield tag="028" ind1="5" ind2="2"><subfield code="a">Bestellnummer: 86987523</subfield></datafield><datafield tag="035" ind1=" " ind2=" "><subfield code="a">(OCoLC)1077484563</subfield></datafield><datafield tag="035" ind1=" " ind2=" "><subfield code="a">(DE-599)DNB1166435644</subfield></datafield><datafield tag="040" ind1=" " ind2=" "><subfield code="a">DE-604</subfield><subfield code="b">ger</subfield><subfield code="e">rda</subfield></datafield><datafield tag="041" ind1="0" ind2=" "><subfield code="a">eng</subfield></datafield><datafield tag="044" ind1=" " ind2=" "><subfield code="a">gw</subfield><subfield code="c">XA-DE-HE</subfield></datafield><datafield tag="049" ind1=" " ind2=" "><subfield code="a">DE-355</subfield><subfield code="a">DE-M382</subfield></datafield><datafield tag="084" ind1=" " ind2=" "><subfield code="a">QK 950</subfield><subfield code="0">(DE-625)141688:</subfield><subfield code="2">rvk</subfield></datafield><datafield tag="100" ind1="1" ind2=" "><subfield code="a">Moenninghoff, Sebastian C.</subfield><subfield code="e">Verfasser</subfield><subfield code="0">(DE-588)1175153184</subfield><subfield code="4">aut</subfield></datafield><datafield tag="245" ind1="1" ind2="0"><subfield code="a">The regulation of systemically rlevant banks</subfield><subfield code="b">how governments should manage their exposure to banking system risk</subfield><subfield code="c">Sebastian C. Moenninghoff ; with a foreword by Hon.-Prof. Dr. Axel Wieandt</subfield></datafield><datafield tag="264" ind1=" " ind2="1"><subfield code="a">Wiesbaden</subfield><subfield code="b">Springer Gabler</subfield><subfield code="c">[2018]</subfield></datafield><datafield tag="300" ind1=" " ind2=" "><subfield code="a">XVI, 170 Seiten</subfield><subfield code="b">Illustrationen</subfield><subfield code="c">24 cm x 16.8 cm</subfield></datafield><datafield tag="336" ind1=" " ind2=" "><subfield code="b">txt</subfield><subfield code="2">rdacontent</subfield></datafield><datafield tag="337" ind1=" " ind2=" "><subfield code="b">n</subfield><subfield code="2">rdamedia</subfield></datafield><datafield tag="338" ind1=" " ind2=" "><subfield code="b">nc</subfield><subfield code="2">rdacarrier</subfield></datafield><datafield tag="490" ind1="0" ind2=" "><subfield code="a">Finanzwirtschaft, Banken und Bankmanagement</subfield></datafield><datafield tag="490" ind1="0" ind2=" "><subfield code="a">Research</subfield></datafield><datafield tag="502" ind1=" " ind2=" "><subfield code="b">Dissertation</subfield><subfield code="c">Otto Beisheim School of Management</subfield><subfield code="d">2017</subfield></datafield><datafield tag="650" ind1="0" ind2="7"><subfield code="a">Bank</subfield><subfield code="0">(DE-588)4004436-1</subfield><subfield code="2">gnd</subfield><subfield code="9">rswk-swf</subfield></datafield><datafield tag="650" ind1="0" ind2="7"><subfield code="a">Stabilitätspolitik</subfield><subfield code="0">(DE-588)4077791-1</subfield><subfield code="2">gnd</subfield><subfield code="9">rswk-swf</subfield></datafield><datafield tag="650" ind1="0" ind2="7"><subfield code="a">Systemrisiko</subfield><subfield code="0">(DE-588)1164452932</subfield><subfield code="2">gnd</subfield><subfield code="9">rswk-swf</subfield></datafield><datafield tag="650" ind1="0" ind2="7"><subfield code="a">Regulierung</subfield><subfield code="0">(DE-588)4201190-5</subfield><subfield code="2">gnd</subfield><subfield code="9">rswk-swf</subfield></datafield><datafield tag="653" ind1=" " ind2=" "><subfield code="a">Bank Bailouts</subfield></datafield><datafield tag="653" ind1=" " ind2=" "><subfield code="a">Bank Regulation</subfield></datafield><datafield tag="653" ind1=" " ind2=" "><subfield code="a">Financial Crises</subfield></datafield><datafield tag="653" ind1=" " ind2=" "><subfield code="a">Financial Stability</subfield></datafield><datafield tag="653" ind1=" " ind2=" "><subfield code="a">Public Policy</subfield></datafield><datafield tag="653" ind1=" " ind2=" "><subfield code="a">Systemic Relevance</subfield></datafield><datafield tag="653" ind1=" " ind2=" "><subfield code="a">Unintended Consequences</subfield></datafield><datafield tag="653" ind1=" " ind2=" "><subfield code="a">KCP</subfield></datafield><datafield tag="653" ind1=" " ind2=" "><subfield code="a">KJM</subfield></datafield><datafield tag="655" ind1=" " ind2="7"><subfield code="0">(DE-588)4113937-9</subfield><subfield code="a">Hochschulschrift</subfield><subfield code="2">gnd-content</subfield></datafield><datafield tag="689" ind1="0" ind2="0"><subfield code="a">Bank</subfield><subfield code="0">(DE-588)4004436-1</subfield><subfield code="D">s</subfield></datafield><datafield tag="689" ind1="0" ind2="1"><subfield code="a">Systemrisiko</subfield><subfield code="0">(DE-588)1164452932</subfield><subfield code="D">s</subfield></datafield><datafield tag="689" ind1="0" ind2="2"><subfield code="a">Regulierung</subfield><subfield code="0">(DE-588)4201190-5</subfield><subfield code="D">s</subfield></datafield><datafield tag="689" ind1="0" ind2="3"><subfield code="a">Stabilitätspolitik</subfield><subfield code="0">(DE-588)4077791-1</subfield><subfield code="D">s</subfield></datafield><datafield tag="689" ind1="0" ind2=" "><subfield code="5">DE-604</subfield></datafield><datafield tag="700" ind1="1" ind2=" "><subfield code="a">Wieandt, Axel</subfield><subfield code="d">1966-</subfield><subfield code="0">(DE-588)171200691</subfield><subfield code="4">aui</subfield></datafield><datafield tag="710" ind1="2" ind2=" "><subfield code="a">Springer Fachmedien Wiesbaden</subfield><subfield code="0">(DE-588)1043386068</subfield><subfield code="4">pbl</subfield></datafield><datafield tag="776" ind1="0" ind2="8"><subfield code="i">Erscheint auch als</subfield><subfield code="n">Online-Ausgabe</subfield><subfield code="z">978-3-658-23811-7</subfield></datafield><datafield tag="856" ind1="4" ind2="2"><subfield code="m">X:MVB</subfield><subfield code="q">text/html</subfield><subfield code="u">http://deposit.dnb.de/cgi-bin/dokserv?id=96ebe869bc794f52853115371c3bd445&prov=M&dok_var=1&dok_ext=htm</subfield><subfield code="3">Inhaltstext</subfield></datafield><datafield tag="856" ind1="4" ind2="2"><subfield code="m">X:MVB</subfield><subfield code="u">http://www.springer.com/</subfield></datafield><datafield tag="856" ind1="4" ind2="2"><subfield code="m">DNB Datenaustausch</subfield><subfield code="q">application/pdf</subfield><subfield code="u">http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&local_base=BVB01&doc_number=030651933&sequence=000001&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA</subfield><subfield code="3">Inhaltsverzeichnis</subfield></datafield><datafield tag="999" ind1=" " ind2=" "><subfield code="a">oai:aleph.bib-bvb.de:BVB01-030651933</subfield></datafield></record></collection> |
genre | (DE-588)4113937-9 Hochschulschrift gnd-content |
genre_facet | Hochschulschrift |
id | DE-604.BV045264045 |
illustrated | Illustrated |
indexdate | 2024-07-10T08:13:15Z |
institution | BVB |
institution_GND | (DE-588)1043386068 |
isbn | 9783658238100 3658238100 9783658248673 |
language | English |
oai_aleph_id | oai:aleph.bib-bvb.de:BVB01-030651933 |
oclc_num | 1077484563 |
open_access_boolean | |
owner | DE-355 DE-BY-UBR DE-M382 |
owner_facet | DE-355 DE-BY-UBR DE-M382 |
physical | XVI, 170 Seiten Illustrationen 24 cm x 16.8 cm |
publishDate | 2018 |
publishDateSearch | 2018 |
publishDateSort | 2018 |
publisher | Springer Gabler |
record_format | marc |
series2 | Finanzwirtschaft, Banken und Bankmanagement Research |
spelling | Moenninghoff, Sebastian C. Verfasser (DE-588)1175153184 aut The regulation of systemically rlevant banks how governments should manage their exposure to banking system risk Sebastian C. Moenninghoff ; with a foreword by Hon.-Prof. Dr. Axel Wieandt Wiesbaden Springer Gabler [2018] XVI, 170 Seiten Illustrationen 24 cm x 16.8 cm txt rdacontent n rdamedia nc rdacarrier Finanzwirtschaft, Banken und Bankmanagement Research Dissertation Otto Beisheim School of Management 2017 Bank (DE-588)4004436-1 gnd rswk-swf Stabilitätspolitik (DE-588)4077791-1 gnd rswk-swf Systemrisiko (DE-588)1164452932 gnd rswk-swf Regulierung (DE-588)4201190-5 gnd rswk-swf Bank Bailouts Bank Regulation Financial Crises Financial Stability Public Policy Systemic Relevance Unintended Consequences KCP KJM (DE-588)4113937-9 Hochschulschrift gnd-content Bank (DE-588)4004436-1 s Systemrisiko (DE-588)1164452932 s Regulierung (DE-588)4201190-5 s Stabilitätspolitik (DE-588)4077791-1 s DE-604 Wieandt, Axel 1966- (DE-588)171200691 aui Springer Fachmedien Wiesbaden (DE-588)1043386068 pbl Erscheint auch als Online-Ausgabe 978-3-658-23811-7 X:MVB text/html http://deposit.dnb.de/cgi-bin/dokserv?id=96ebe869bc794f52853115371c3bd445&prov=M&dok_var=1&dok_ext=htm Inhaltstext X:MVB http://www.springer.com/ DNB Datenaustausch application/pdf http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&local_base=BVB01&doc_number=030651933&sequence=000001&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA Inhaltsverzeichnis |
spellingShingle | Moenninghoff, Sebastian C. The regulation of systemically rlevant banks how governments should manage their exposure to banking system risk Bank (DE-588)4004436-1 gnd Stabilitätspolitik (DE-588)4077791-1 gnd Systemrisiko (DE-588)1164452932 gnd Regulierung (DE-588)4201190-5 gnd |
subject_GND | (DE-588)4004436-1 (DE-588)4077791-1 (DE-588)1164452932 (DE-588)4201190-5 (DE-588)4113937-9 |
title | The regulation of systemically rlevant banks how governments should manage their exposure to banking system risk |
title_auth | The regulation of systemically rlevant banks how governments should manage their exposure to banking system risk |
title_exact_search | The regulation of systemically rlevant banks how governments should manage their exposure to banking system risk |
title_full | The regulation of systemically rlevant banks how governments should manage their exposure to banking system risk Sebastian C. Moenninghoff ; with a foreword by Hon.-Prof. Dr. Axel Wieandt |
title_fullStr | The regulation of systemically rlevant banks how governments should manage their exposure to banking system risk Sebastian C. Moenninghoff ; with a foreword by Hon.-Prof. Dr. Axel Wieandt |
title_full_unstemmed | The regulation of systemically rlevant banks how governments should manage their exposure to banking system risk Sebastian C. Moenninghoff ; with a foreword by Hon.-Prof. Dr. Axel Wieandt |
title_short | The regulation of systemically rlevant banks |
title_sort | the regulation of systemically rlevant banks how governments should manage their exposure to banking system risk |
title_sub | how governments should manage their exposure to banking system risk |
topic | Bank (DE-588)4004436-1 gnd Stabilitätspolitik (DE-588)4077791-1 gnd Systemrisiko (DE-588)1164452932 gnd Regulierung (DE-588)4201190-5 gnd |
topic_facet | Bank Stabilitätspolitik Systemrisiko Regulierung Hochschulschrift |
url | http://deposit.dnb.de/cgi-bin/dokserv?id=96ebe869bc794f52853115371c3bd445&prov=M&dok_var=1&dok_ext=htm http://www.springer.com/ http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&local_base=BVB01&doc_number=030651933&sequence=000001&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA |
work_keys_str_mv | AT moenninghoffsebastianc theregulationofsystemicallyrlevantbankshowgovernmentsshouldmanagetheirexposuretobankingsystemrisk AT wieandtaxel theregulationofsystemicallyrlevantbankshowgovernmentsshouldmanagetheirexposuretobankingsystemrisk AT springerfachmedienwiesbaden theregulationofsystemicallyrlevantbankshowgovernmentsshouldmanagetheirexposuretobankingsystemrisk |