Systemic risk and Macro-prudential supervision
Niamh A. Moloney, Eilís Ferran, Jennifer Payne, Rosa Maria Lastra
Abstract
Niamh A. Moloney, Eilís Ferran, Jennifer Payne, Rosa Maria Lastra
Abstract
This chapter deals with the regulatory and institutional issues associated with the management of systemic risk and the concept of macroprudential supervision.From a methodological viewpoint, it relies upon a multi-level governance (MLG) approach, considering the domestic, regional, and international dimensions of systemic risk control.* I would like to thank Enmanuel Cedeño-Brea for excellent, comprehensive and original research assistance and Charles Goodhart, David Bholat and Andromachi Georgosouli for helpful comments and suggestions.Errors or limitations of
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This chapter deals with the regulatory and institutional issues associated with the management of systemic risk and the concept of macroprudential supervision.From a methodological viewpoint, it relies upon a multi-level governance (MLG) approach, considering the domestic, regional, and international dimensions of systemic risk control.* I would like to thank Enmanuel Cedeño-Brea for excellent, comprehensive and original research assistance and Charles Goodhart, David Bholat and Andromachi Georgosouli for helpful comments and suggestions.Errors or limitations of
Key concepts: Macro, Systemic risk, Business, Economics, Computer science, Financial crisis, Programming language, Macroeconomics