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This volume represents the latest developments and policy debate on a very current issue: the rapid growth of banking sector credit to the private sector, which continues to occupy the minds of academics and policymakers alike in many central and eastern European (CEE) countries. The papers,...
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This book observes that a key determinant of Europe's welfare over the coming decades will be how the region manages crises, both financial and societal. It examines how key institutional developments, such as Economic and Monetary Union, reflected differential integration (DI) in the EU, but...
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Cover -- EDITORIAL ADVISORY BOARD -- Policy responses to the Great Financial Crisis -- Has regulatory reform been misdirected? -- What happened to global banking after the crisis? -- The impacts of financial regulations: solvency and liquidity in the post-crisis period -- Effectiveness and...
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This study looks at the first two years of the banking crisis that erupted in Indonesia in late 1997. It finds that the banking sector was weak at the outset, and that governance problems intensified the crisis and seriously delayed its resolution. Although a strategy was put in place over the...
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This paper reviews the policy responses of Indonesia, Korea, and Thailand to the Asian crisis that erupted in 1997 and compares the actions of these three countries with those of Malaysia and the Philippines, which were buffeted by the crisis. Although work is still under way in all the affected...
Persistent link: https://www.econbiz.de/10014405693