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institutional approaches to the study of regulation, I show how regulatory systemic risk emerges in the US securities regulatory …The concept of regulatory systemic risk – a long-term imbalance, resulting from the misalignment between regulatory … securities regulation. The discussion offers two theses: one descriptive and the other normative. Descriptively, drawing on …
Persistent link: https://www.econbiz.de/10013128555
The use of collateral has become one of the most widespread risk mitigation techniques. While it brings stabilizing … effects to the individual lender we argue that it may exacerbate systemic risk through margin call activation. We show how a …
Persistent link: https://www.econbiz.de/10013130898
developing international regulatory standards and guidance in relation to financial regulation and financial stability. This … regulation, focusing on approaches to the regulation of systemically important financial institutions (SIFIs). Of these, nonbank … finance has proven to be a major source of potential systemic risk, and the G20/FSB is currently addressing this in the …
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The use of collateral has become one of the most widespread risk mitigation techniques. While it brings stabilizing … effects to the individual lender we argue that it may exacerbate systemic risk through margin call activation. We show how a …
Persistent link: https://www.econbiz.de/10014397334
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later conferred on the ECB by the Single Supervisory Mechanism (SSM) Regulation. The paper describes the ECB …’s macroprudential governance framework in the new institutional set-up. After reviewing the concept and origins of systemic risk, it … required new tools to be developed to measure systemic risk at financial institution, country and system-wide level. The paper …
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