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Systemic Risk and Macroprudential Regulation
SSRN Electronic JournalThis article, part of a symposium on comparative financial regulation, compares the United States's and European Union's approaches to systemic risk and macroprudential regulation since the 2008 global financial crisis. It reveals that both jurisdictions have established new macroprudential bodies and given regulators new macroprudential tools ...
Seraina Grunewald, Jeremy C. Kress
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From stress testing to systemic stress testing: The importance of macroprudential regulation
Journal of Financial Stability, 2021Irena Vodenska +2 more
exaly
Macroprudential regulation and policy
2011The Bank for International Settlements (BIS) and the Bank of Korea (BoK) jointly organised a conference on macroprudential regulation and policy in Seoul, Korea, on 16-18 January 2011. The conference aimed to bring academics together with researchers at central banks and other public institutions to present and discuss ongoing theoretical and empirical
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Capital controls, macroprudential regulation, and the bank balance sheet channel
Journal of Macroeconomics, 2020Shigeto Kitano, Kenya Takaku
exaly
Risk shifting and the allocation of capital: A Rationale for macroprudential regulation
Journal of Banking and Finance, 2020Michael Kogler
exaly
Macroprudential Regulation and Banking Regulation
Australian Economic Review, 2016openaire +1 more source
The gradual transformation? The incremental dynamics of macroprudential regulation
Regulation and Governance, 2013Andrew Baker
exaly
Insurance and Macroprudential Regulation
2014Sebastian von Dahlen, Marcelo Ramella
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