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TARP and other bank bailouts and bail-ins around the world = connecting Wall Street, Main Street, and the financial system /
Record Type:
Language materials, printed : Monograph/item
Title/Author:
TARP and other bank bailouts and bail-ins around the world/ Allen N. Berger, Raluca A. Roman.
Reminder of title:
connecting Wall Street, Main Street, and the financial system /
Author:
Berger, Allen N.
other author:
Roman, Raluca Andreea.
Published:
Amsterdam :Academic Press, : 2020.,
Description:
1 online resource.
Subject:
Bailouts (Government policy). -
Online resource:
https://www.sciencedirect.com/science/book/9780128138649
ISBN:
9780128138656 (electronic bk.)
TARP and other bank bailouts and bail-ins around the world = connecting Wall Street, Main Street, and the financial system /
Berger, Allen N.
TARP and other bank bailouts and bail-ins around the world
connecting Wall Street, Main Street, and the financial system /[electronic resource] :Allen N. Berger, Raluca A. Roman. - Amsterdam :Academic Press,2020. - 1 online resource.
Includes bibliographical references and index.
I Introductory materials 1. Introduction to bank bailouts, bail-ins and the related topics covered in the book 2. Conditions that generally bring about bank bailouts, bail-ins, and other resolution methods 3. Descriptions of the TARP program, other bank bailouts and bail-ins, and other resolution approaches in the United States and around the world 4. Theoretical background on bank bailouts, bail-ins, and other resolution approaches II Empirical research on TARP 5. Methodologies used in most of the TARP empirical studies 6. Determinants of applying for and receiving TARP funds and exiting early from the program 7. Effects of TARP on recipient banks' valuations 8. Effects of TARP on market discipline 9. Effects of TARP on bank leverage risk 10. Effects of TARP on bank competition 11. Effects of TARP on bank credit supply 12. Effects of TARP on bank portfolio risk 13. Effects of TARP on recipient banks' credit customers 14. Effects of TARP on the real economy 15. Effects of TARP on systemic risk III Empirical evidence bank bailouts other than TARP, bail-ins, and other resolution approaches 16. Empirical research on bailouts other than TARP 17. Empirical research on bail-ins 18. Empirical research on other resolution approaches IV First lines of defense to help avoid bailouts, bail-ins, and other resolutions 19. Mechanisms for the first lines of defense 20. Capital requirements 21. Liquidity requirements 22. Stress tests 23. Prudential regulatory activity restrictions 24. Prudential supervision 25. Deposit insurance 26. Direct government ownership of banks V Looking toward the future 27. Social costs and benefits 28. Implications for bank policymakers and bank managers 29. Open research questions to be addressed by future research.
ISBN: 9780128138656 (electronic bk.)
Nat. Bib. No.: GBC072154bnbSubjects--Corporate Names:
1405211
Troubled Asset Relief Program (U.S.)
Subjects--Topical Terms:
1405213
Bailouts (Government policy).
Index Terms--Genre/Form:
554714
Electronic books.
LC Class. No.: HB3722 / .B47 2020
Dewey Class. No.: 339.5
TARP and other bank bailouts and bail-ins around the world = connecting Wall Street, Main Street, and the financial system /
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I Introductory materials 1. Introduction to bank bailouts, bail-ins and the related topics covered in the book 2. Conditions that generally bring about bank bailouts, bail-ins, and other resolution methods 3. Descriptions of the TARP program, other bank bailouts and bail-ins, and other resolution approaches in the United States and around the world 4. Theoretical background on bank bailouts, bail-ins, and other resolution approaches II Empirical research on TARP 5. Methodologies used in most of the TARP empirical studies 6. Determinants of applying for and receiving TARP funds and exiting early from the program 7. Effects of TARP on recipient banks' valuations 8. Effects of TARP on market discipline 9. Effects of TARP on bank leverage risk 10. Effects of TARP on bank competition 11. Effects of TARP on bank credit supply 12. Effects of TARP on bank portfolio risk 13. Effects of TARP on recipient banks' credit customers 14. Effects of TARP on the real economy 15. Effects of TARP on systemic risk III Empirical evidence bank bailouts other than TARP, bail-ins, and other resolution approaches 16. Empirical research on bailouts other than TARP 17. Empirical research on bail-ins 18. Empirical research on other resolution approaches IV First lines of defense to help avoid bailouts, bail-ins, and other resolutions 19. Mechanisms for the first lines of defense 20. Capital requirements 21. Liquidity requirements 22. Stress tests 23. Prudential regulatory activity restrictions 24. Prudential supervision 25. Deposit insurance 26. Direct government ownership of banks V Looking toward the future 27. Social costs and benefits 28. Implications for bank policymakers and bank managers 29. Open research questions to be addressed by future research.
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https://www.sciencedirect.com/science/book/9780128138649
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