International Financial Governance Under Stress

International Financial Governance Under Stress

Author: Geoffrey R. D. Underhill

Publisher:

Published: 2003

Total Pages: 395

ISBN-13: 9780511054464

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The Asian and Argentinian financial crises have focused attention on the most appropriate shape and role for international and national financial institutions. This volume offers a wide-ranging overview of the problems and possible policy responses. Although the approach is multi-disciplinary, most of the contributors write from a political economy perspective.


Book Synopsis International Financial Governance Under Stress by : Geoffrey R. D. Underhill

Download or read book International Financial Governance Under Stress written by Geoffrey R. D. Underhill and published by . This book was released on 2003 with total page 395 pages. Available in PDF, EPUB and Kindle. Book excerpt: The Asian and Argentinian financial crises have focused attention on the most appropriate shape and role for international and national financial institutions. This volume offers a wide-ranging overview of the problems and possible policy responses. Although the approach is multi-disciplinary, most of the contributors write from a political economy perspective.


International Financial Governance under Stress

International Financial Governance under Stress

Author: Geoffrey R. D. Underhill

Publisher: Cambridge University Press

Published: 2007-05-07

Total Pages: 412

ISBN-13: 9780521036375

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Intensifying global financial liberalization and integration has been accompanied by increased financial volatility over the past two decades. This has been revealed most dramatically by the Asian financial crisis and the more recent crisis in Argentina. These and lesser-known crises in emerging economies have focused attention on determining the most appropriate role for international and national financial institutions to play. This volume offers a wide-ranging overview of the problems and possible policy responses involved in resolving the issues discussed.


Book Synopsis International Financial Governance under Stress by : Geoffrey R. D. Underhill

Download or read book International Financial Governance under Stress written by Geoffrey R. D. Underhill and published by Cambridge University Press. This book was released on 2007-05-07 with total page 412 pages. Available in PDF, EPUB and Kindle. Book excerpt: Intensifying global financial liberalization and integration has been accompanied by increased financial volatility over the past two decades. This has been revealed most dramatically by the Asian financial crisis and the more recent crisis in Argentina. These and lesser-known crises in emerging economies have focused attention on determining the most appropriate role for international and national financial institutions to play. This volume offers a wide-ranging overview of the problems and possible policy responses involved in resolving the issues discussed.


International Financial Governance under Stress

International Financial Governance under Stress

Author: Geoffrey R. D. Underhill

Publisher: Cambridge University Press

Published: 2003-04-03

Total Pages: 411

ISBN-13: 1139434845

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Persistent episodes of global financial crises have placed the existing system of international monetary and financial governance under stress. The resulting economic turmoil provides a focal point for rethinking the norms and institutions of global financial architecture and the policy options of public and private authorities at national, regional and transnational levels. This volume moves beyond analysis of the causes and consequences of recent financial crises and concentrates on issues of policy. Written by distinguished scholars, it focuses on the tension between global market structures and national policy imperatives. Accessible to both specialists and general readers, the analysis is coherent across a broad range of theoretical and empirical cases. Offering a series of reasoned policy responses to financial integration and crises, the volume grapples directly with the institutional and often-neglected normative dimensions of international financial architecture. The volume thus constitutes required reading for scholars and policy-makers.


Book Synopsis International Financial Governance under Stress by : Geoffrey R. D. Underhill

Download or read book International Financial Governance under Stress written by Geoffrey R. D. Underhill and published by Cambridge University Press. This book was released on 2003-04-03 with total page 411 pages. Available in PDF, EPUB and Kindle. Book excerpt: Persistent episodes of global financial crises have placed the existing system of international monetary and financial governance under stress. The resulting economic turmoil provides a focal point for rethinking the norms and institutions of global financial architecture and the policy options of public and private authorities at national, regional and transnational levels. This volume moves beyond analysis of the causes and consequences of recent financial crises and concentrates on issues of policy. Written by distinguished scholars, it focuses on the tension between global market structures and national policy imperatives. Accessible to both specialists and general readers, the analysis is coherent across a broad range of theoretical and empirical cases. Offering a series of reasoned policy responses to financial integration and crises, the volume grapples directly with the institutional and often-neglected normative dimensions of international financial architecture. The volume thus constitutes required reading for scholars and policy-makers.


Stress Testing at the IMF

Stress Testing at the IMF

Author: Mr.Tobias Adrian

Publisher: International Monetary Fund

Published: 2020-02-05

Total Pages: 73

ISBN-13: 1513520741

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This paper explains specifics of stress testing at the IMF. After a brief section on the evolution of stress tests at the IMF, the paper presents the key steps of an IMF staff stress test. They are followed by a discussion on how IMF staff uses stress tests results for policy advice. The paper concludes by identifying remaining challenges to make stress tests more useful for the monitoring of financial stability and an overview of IMF staff work program in that direction. Stress tests help assess the resilience of financial systems in IMF member countries and underpin policy advice to preserve or restore financial stability. This assessment and advice are mainly provided through the Financial Sector Assessment Program (FSAP). IMF staff also provide technical assistance in stress testing to many its member countries. An IMF macroprudential stress test is a methodology to assess financial vulnerabilities that can trigger systemic risk and the need of systemwide mitigating measures. The definition of systemic risk as used by the IMF is relevant to understanding the role of its stress tests as tools for financial surveillance and the IMF’s current work program. IMF stress tests primarily apply to depository intermediaries, and, systemically important banks.


Book Synopsis Stress Testing at the IMF by : Mr.Tobias Adrian

Download or read book Stress Testing at the IMF written by Mr.Tobias Adrian and published by International Monetary Fund. This book was released on 2020-02-05 with total page 73 pages. Available in PDF, EPUB and Kindle. Book excerpt: This paper explains specifics of stress testing at the IMF. After a brief section on the evolution of stress tests at the IMF, the paper presents the key steps of an IMF staff stress test. They are followed by a discussion on how IMF staff uses stress tests results for policy advice. The paper concludes by identifying remaining challenges to make stress tests more useful for the monitoring of financial stability and an overview of IMF staff work program in that direction. Stress tests help assess the resilience of financial systems in IMF member countries and underpin policy advice to preserve or restore financial stability. This assessment and advice are mainly provided through the Financial Sector Assessment Program (FSAP). IMF staff also provide technical assistance in stress testing to many its member countries. An IMF macroprudential stress test is a methodology to assess financial vulnerabilities that can trigger systemic risk and the need of systemwide mitigating measures. The definition of systemic risk as used by the IMF is relevant to understanding the role of its stress tests as tools for financial surveillance and the IMF’s current work program. IMF stress tests primarily apply to depository intermediaries, and, systemically important banks.


Democracy Under Stress

Democracy Under Stress

Author: Ursula Van Beek

Publisher: AFRICAN SUN MeDIA

Published: 2012-02-01

Total Pages: 216

ISBN-13: 1920338705

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DEMOCRACY UNDER STRESS focuses on the global financial crisis of 2008-2009 and its implications for democracy. Why and how did the crisis come about? Are there any instructive lessons to be drawn from comparisons with the Great Depression of the 1930s? What are the democratic response mechanisms to cope with serious crises? Do they work? Is China a new trend setter? Do values matter? Are global democratic rules a possibility? These are some of the key questions addressed in the volume.


Book Synopsis Democracy Under Stress by : Ursula Van Beek

Download or read book Democracy Under Stress written by Ursula Van Beek and published by AFRICAN SUN MeDIA. This book was released on 2012-02-01 with total page 216 pages. Available in PDF, EPUB and Kindle. Book excerpt: DEMOCRACY UNDER STRESS focuses on the global financial crisis of 2008-2009 and its implications for democracy. Why and how did the crisis come about? Are there any instructive lessons to be drawn from comparisons with the Great Depression of the 1930s? What are the democratic response mechanisms to cope with serious crises? Do they work? Is China a new trend setter? Do values matter? Are global democratic rules a possibility? These are some of the key questions addressed in the volume.


The Financial System Under Stress

The Financial System Under Stress

Author: Marc Uzan

Publisher: Routledge

Published: 2003-09-02

Total Pages: 240

ISBN-13: 1134780184

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The collapse of Barings bank and the currency crisis in Mexico are just two instances of stress in an international financial system still largely governed by the institutions established by the Bretton Woods Committee in 1944. Here, the authors put forward an agenda for a new system of international economic institutions to fit the changes in international relations. This agenda includes: * an analysis of the role of the Bretton Woods institutions and their relations with the newly created World Trade Organizations * a discussion of the search for world economic governance * an analysis of the crisis within EMS and the prospects for European Monetary Integration * an examination of the integration of private markets in the new economic architecture.


Book Synopsis The Financial System Under Stress by : Marc Uzan

Download or read book The Financial System Under Stress written by Marc Uzan and published by Routledge. This book was released on 2003-09-02 with total page 240 pages. Available in PDF, EPUB and Kindle. Book excerpt: The collapse of Barings bank and the currency crisis in Mexico are just two instances of stress in an international financial system still largely governed by the institutions established by the Bretton Woods Committee in 1944. Here, the authors put forward an agenda for a new system of international economic institutions to fit the changes in international relations. This agenda includes: * an analysis of the role of the Bretton Woods institutions and their relations with the newly created World Trade Organizations * a discussion of the search for world economic governance * an analysis of the crisis within EMS and the prospects for European Monetary Integration * an examination of the integration of private markets in the new economic architecture.


Global Finance in Crisis

Global Finance in Crisis

Author: Eric Helleiner

Publisher: Routledge

Published: 2010-01-21

Total Pages: 296

ISBN-13: 1135157618

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From the vantage point of the key powers in global finance including the United States, the European Union, Japan, and China, this highly accessible book brings together leading scholars to examine current changes in international financial regulation. They assess whether the flurry of ambitious initiatives to improve and strengthen international financial regulation signals an important turning point in the regulation of global finance. The text: Examines the kinds of international reforms have been implemented to date and patterns of international regulatory change. Provides an analysis of change across a number of financial sectors, including the regulation of hedge funds, derivatives, credit rating agencies, accounting, and banks. Offers an explanation of contemporary regulatory developments with reference to inter-state power dynamics, domestic politics, transgovernmental networks, and/or transnational non-state forces. Providing the first systematic analysis of the international regulatory response to the current global financial crisis, this ground-breaking volume is vital reading for students and scholars of international political economy, international relations, global governance, finance and economics.


Book Synopsis Global Finance in Crisis by : Eric Helleiner

Download or read book Global Finance in Crisis written by Eric Helleiner and published by Routledge. This book was released on 2010-01-21 with total page 296 pages. Available in PDF, EPUB and Kindle. Book excerpt: From the vantage point of the key powers in global finance including the United States, the European Union, Japan, and China, this highly accessible book brings together leading scholars to examine current changes in international financial regulation. They assess whether the flurry of ambitious initiatives to improve and strengthen international financial regulation signals an important turning point in the regulation of global finance. The text: Examines the kinds of international reforms have been implemented to date and patterns of international regulatory change. Provides an analysis of change across a number of financial sectors, including the regulation of hedge funds, derivatives, credit rating agencies, accounting, and banks. Offers an explanation of contemporary regulatory developments with reference to inter-state power dynamics, domestic politics, transgovernmental networks, and/or transnational non-state forces. Providing the first systematic analysis of the international regulatory response to the current global financial crisis, this ground-breaking volume is vital reading for students and scholars of international political economy, international relations, global governance, finance and economics.


The Financial System Under Stress

The Financial System Under Stress

Author: Marc Uzan

Publisher: Burns & Oates

Published: 1996

Total Pages: 225

ISBN-13: 9780415135160

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Summary: v.1 provides an analysis of the role of those institutions established at Bretton Woods and their relations with the newly created World Trade Organization. Particular attention is given to the Internation Monetary Fund and the World Bank -- v.2 examines the type of global governance necessary for the changing world economy. Finally -- v.3 discusses the growing integration of capital markets and their role in the new economic architecture.


Book Synopsis The Financial System Under Stress by : Marc Uzan

Download or read book The Financial System Under Stress written by Marc Uzan and published by Burns & Oates. This book was released on 1996 with total page 225 pages. Available in PDF, EPUB and Kindle. Book excerpt: Summary: v.1 provides an analysis of the role of those institutions established at Bretton Woods and their relations with the newly created World Trade Organization. Particular attention is given to the Internation Monetary Fund and the World Bank -- v.2 examines the type of global governance necessary for the changing world economy. Finally -- v.3 discusses the growing integration of capital markets and their role in the new economic architecture.


Governing Finance

Governing Finance

Author: Andrew Walter

Publisher: Cornell University Press

Published: 2011-03-15

Total Pages: 255

ISBN-13: 0801458153

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The international financial community blamed the Asian crisis of 1997–1998 on deep failures of domestic financial governance. To avoid similar crises in the future, this community adopted and promoted a set of international "best practice" standards of financial governance. The G7 asked specialized public and private sector bodies to set international standards, and tasked the International Monetary Fund and the World Bank with their global dissemination. Non-Western countries were thereby encouraged to emulate Western practices in banking and securities supervision, corporate governance, financial disclosure, and policy transparency. In Governing Finance, Andrew Walter explains why Indonesia, Malaysia, South Korea, and Thailand—key targets and test cases of this international standards project—were placed under intense pressure to transform their domestic financial governance. Walter finds that the depth of the economic crisis, and more enduring aspects of Asian capitalism, such as family ownership of firms, made substantive compliance with international standards very costly for the private sector and politically difficult for governments to achieve. In spite of international compliance pressure, the result was varying degrees of cosmetic or "mock" compliance. In a book containing lessons for any agency or country attempting to implement lasting change in financial governance, Walter emphasizes the limits of global regulatory convergence in the absence of support from domestic politicians, institutions, and firms.


Book Synopsis Governing Finance by : Andrew Walter

Download or read book Governing Finance written by Andrew Walter and published by Cornell University Press. This book was released on 2011-03-15 with total page 255 pages. Available in PDF, EPUB and Kindle. Book excerpt: The international financial community blamed the Asian crisis of 1997–1998 on deep failures of domestic financial governance. To avoid similar crises in the future, this community adopted and promoted a set of international "best practice" standards of financial governance. The G7 asked specialized public and private sector bodies to set international standards, and tasked the International Monetary Fund and the World Bank with their global dissemination. Non-Western countries were thereby encouraged to emulate Western practices in banking and securities supervision, corporate governance, financial disclosure, and policy transparency. In Governing Finance, Andrew Walter explains why Indonesia, Malaysia, South Korea, and Thailand—key targets and test cases of this international standards project—were placed under intense pressure to transform their domestic financial governance. Walter finds that the depth of the economic crisis, and more enduring aspects of Asian capitalism, such as family ownership of firms, made substantive compliance with international standards very costly for the private sector and politically difficult for governments to achieve. In spite of international compliance pressure, the result was varying degrees of cosmetic or "mock" compliance. In a book containing lessons for any agency or country attempting to implement lasting change in financial governance, Walter emphasizes the limits of global regulatory convergence in the absence of support from domestic politicians, institutions, and firms.


System Under Stress: Homeland Security and American Politics

System Under Stress: Homeland Security and American Politics

Author: Donald F. Kettl

Publisher: SAGE

Published: 2013-03-12

Total Pages: 217

ISBN-13: 1452239908

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"One of the book's many strengths is the way it brings an analytic focus to recent events. It does so in an engaging way, with the book overall written extremely well. And the emphasis on the role of political institutions is right on target."


Book Synopsis System Under Stress: Homeland Security and American Politics by : Donald F. Kettl

Download or read book System Under Stress: Homeland Security and American Politics written by Donald F. Kettl and published by SAGE. This book was released on 2013-03-12 with total page 217 pages. Available in PDF, EPUB and Kindle. Book excerpt: "One of the book's many strengths is the way it brings an analytic focus to recent events. It does so in an engaging way, with the book overall written extremely well. And the emphasis on the role of political institutions is right on target."