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Key factors identified as contributing to the global financial crisis included the roles of financial accounting policies and credit rating agencies, and the combination of these factors in producing a continuing pro-cyclical destabilising effect on financial institutions. This article examines...
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This study unites two streams of research by simultaneously focusing on the impact of financial globalisation on financial development and pre- and post-crisis dynamics of the investigated relationship. The empirical evidence is based on 53 African countries for the period 2004-2011 and...
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Global payments imbalances and the rise of emerging economies provide the background to this analysis of risk exposure and near-insolvency at the world's major banks. Emerging Risk was published in 1985, three years after the first international banking crisis of the post-War era, but prior to...
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Preface -- The post-crisis regulatory landscape : an overview -- Regulatory issues in the aftermath of the crisis -- Financial regulation as a response to corruption and fraud -- The war on regulation : REH, WC, GM and all that -- The efficient market hypothesis as a weapon of mass destruction...
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