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Macroprudential supervision in insur...
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Malecki, Marian,
Macroprudential supervision in insurance = theoretical and practical aspects /
紀錄類型:
書目-語言資料,印刷品 : Monograph/item
正題名/作者:
Macroprudential supervision in insurance/ Edited by Jan Monkiewicz, Marian Malecki.
其他題名:
theoretical and practical aspects /
作者:
Monkiewicz, Jan,
其他作者:
Malecki, Marian,
出版者:
Basingstoke :Palgrave Macmillan, : 2014.,
面頁冊數:
288 p. :28 figures, 9. :
附註:
Electronic book text.
標題:
Insurance - State supervision. -
電子資源:
Online journal 'available contents' page
ISBN:
1137439106 (electronic bk.) :
Macroprudential supervision in insurance = theoretical and practical aspects /
Monkiewicz, Jan,
Macroprudential supervision in insurance
theoretical and practical aspects /[electronic resource] :Edited by Jan Monkiewicz, Marian Malecki. - 1st ed. - Basingstoke :Palgrave Macmillan,2014. - 288 p. :28 figures, 9.
Electronic book text.
Preface-- Marek Belka Introduction: Macroprudential Supervision in Insurance: Setting the Scene-- Jan Monkiewicz PART I: GENERAL ISSUES 1. Dynamics of the Safety Net in Insurance: Trends and Challenges-- Marek Monkiewicz 2. Systemic Risk and the Insurance Industry: Principal Linkages and Dependencies-- Martin Eling and David Pankoke 3. Insuring the Financial System Against Insurers: A Macroprudential Framework-- Hanne van Voorden and Aerdt Houben 4. Insurance and Macroprudential Regulation: Conceptual Issues-- Marcello Ramella and Sebastian von Dahlen PART II: POLICY RELATED ISSUES 5. Macroprudential Policy: Rationale and Challenges-- Piotr Szpunar 6. Systemic Risk and Financial Stability in Insurance: Macroprudential Policy Concerns-- Krzysztof Jajuga 7. How to Align Microprudential and Macroprudential Supervision in Insurance-- Rodolfo Wehrhahn 8. Macroprudential Policies: What Toolkit for the Insurance Sector?-- Rodolfo Wehrhahn and Nadege Jassaud 9. Central Banking, Macroprudential Supervision and Insurance-- Donato Masciandaro and Alessio Volpicella 10. Architecture of Macroprudential Supervision in the EU: Regional Model-- Andrew Mawdsley PART III: GLOBAL ISSUES 11. GSIIs and the Framework for Macro-Prudential Supervision: Strengthening GSIIs and Reducing the Systemic Risks they Pose-- Paul Sharma 12. The Growing Confusion between Group Supervision and Macroprudential Surveillance in Insurance-- Philippe Brahin 13. Global Macroprudential Set Up in Insurance: Who is in Charge?-- Sebastian von Dahlen and Marcelo Ramella 14. Misuse of Macroprudential Regulations for Protectionist Purposes: A Real Danger?-- Philipp Keller.
Document
Macroprudential policies, tools and supervision have become important since the last financial crisis. This book addresses general and methodological issues and provides a framework for the analysis of macroprudential policies and supervision in insurance. It focuses on policy related issues and global level aspects of macroprudential in insurance.Macroprudential policies, tools and supervision have become the most important regulatory and supervisory innovation across the globe in recent years. This very relevant topic, which became important after the last financial crisis, is the subject matter of numerous studies and policy papers. Most contributions to the field however are banking-oriented and rarely address other segments of the financial sector. It seems only natural therefore that a more balanced approach is required. Macroprudential Supervision in Insurance fills this existing vacuum and advances our understanding of macroprudential oversight in insurance. The book is split into three parts. The first part addresses general and methodological issues and provides a framework for the analysis of macroprudential policies and supervision in the insurance context. The second part focuses on policy related issues: balance between macro and micro, the macroprudential supervisory toolkit, GSII related aspects and the institutional dimension of macroprudential supervision. The third part focuses on global level aspects of macroprudential in insurance, making this an ideal resource for the supervisory community, the insurance industry and anyone interested in insurance regulation.
PDF.
Jan Monkiewicz is Professor of Financial Management at Warsaw University of Technology, Poland, and Head of its Risk and Finance Department. He has held senior positions within the Polish government; he has been a member of the Executive Board of the International Association of Insurance Supervisors, Vice Secretary General of the Geneva Association and has been a member of the editorial board of The Geneva Papers on Risk and Insurance. His principal research interests include financial stability, financial markets, financial regulation, risk and insurance and intellectual property rights. He has published several books and articles both in Poland and abroad. He has been advisor to the President of the National Bank of Poland since 2012. Marian Malecki was Lecturer in International Economics at the Warsaw University of Technology, Poland, and has published over 70 articles in this subject area. He worked for the Polish government for many years where he was involved in Poland's integration into the European Union. He has also worked at the Polish Insurance and Pension Authority where he was responsible for market research, consumer protection and its foreign relations, representing the Authority at the IAIS and CEIOPS meetings. In the past four years he was associated with the Geneva Association at the implementation of the PROGRES Research Programme on Regulation and Supervision.
ISBN: 1137439106 (electronic bk.) :£70.00Subjects--Topical Terms:
1009938
Insurance
--State supervision.
LC Class. No.: HG8111 / .M33 2014
Dewey Class. No.: 354.85
Macroprudential supervision in insurance = theoretical and practical aspects /
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Preface-- Marek Belka Introduction: Macroprudential Supervision in Insurance: Setting the Scene-- Jan Monkiewicz PART I: GENERAL ISSUES 1. Dynamics of the Safety Net in Insurance: Trends and Challenges-- Marek Monkiewicz 2. Systemic Risk and the Insurance Industry: Principal Linkages and Dependencies-- Martin Eling and David Pankoke 3. Insuring the Financial System Against Insurers: A Macroprudential Framework-- Hanne van Voorden and Aerdt Houben 4. Insurance and Macroprudential Regulation: Conceptual Issues-- Marcello Ramella and Sebastian von Dahlen PART II: POLICY RELATED ISSUES 5. Macroprudential Policy: Rationale and Challenges-- Piotr Szpunar 6. Systemic Risk and Financial Stability in Insurance: Macroprudential Policy Concerns-- Krzysztof Jajuga 7. How to Align Microprudential and Macroprudential Supervision in Insurance-- Rodolfo Wehrhahn 8. Macroprudential Policies: What Toolkit for the Insurance Sector?-- Rodolfo Wehrhahn and Nadege Jassaud 9. Central Banking, Macroprudential Supervision and Insurance-- Donato Masciandaro and Alessio Volpicella 10. Architecture of Macroprudential Supervision in the EU: Regional Model-- Andrew Mawdsley PART III: GLOBAL ISSUES 11. GSIIs and the Framework for Macro-Prudential Supervision: Strengthening GSIIs and Reducing the Systemic Risks they Pose-- Paul Sharma 12. The Growing Confusion between Group Supervision and Macroprudential Surveillance in Insurance-- Philippe Brahin 13. Global Macroprudential Set Up in Insurance: Who is in Charge?-- Sebastian von Dahlen and Marcelo Ramella 14. Misuse of Macroprudential Regulations for Protectionist Purposes: A Real Danger?-- Philipp Keller.
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Macroprudential policies, tools and supervision have become the most important regulatory and supervisory innovation across the globe in recent years. This very relevant topic, which became important after the last financial crisis, is the subject matter of numerous studies and policy papers. Most contributions to the field however are banking-oriented and rarely address other segments of the financial sector. It seems only natural therefore that a more balanced approach is required. Macroprudential Supervision in Insurance fills this existing vacuum and advances our understanding of macroprudential oversight in insurance. The book is split into three parts. The first part addresses general and methodological issues and provides a framework for the analysis of macroprudential policies and supervision in the insurance context. The second part focuses on policy related issues: balance between macro and micro, the macroprudential supervisory toolkit, GSII related aspects and the institutional dimension of macroprudential supervision. The third part focuses on global level aspects of macroprudential in insurance, making this an ideal resource for the supervisory community, the insurance industry and anyone interested in insurance regulation.
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Jan Monkiewicz is Professor of Financial Management at Warsaw University of Technology, Poland, and Head of its Risk and Finance Department. He has held senior positions within the Polish government; he has been a member of the Executive Board of the International Association of Insurance Supervisors, Vice Secretary General of the Geneva Association and has been a member of the editorial board of The Geneva Papers on Risk and Insurance. His principal research interests include financial stability, financial markets, financial regulation, risk and insurance and intellectual property rights. He has published several books and articles both in Poland and abroad. He has been advisor to the President of the National Bank of Poland since 2012. Marian Malecki was Lecturer in International Economics at the Warsaw University of Technology, Poland, and has published over 70 articles in this subject area. He worked for the Polish government for many years where he was involved in Poland's integration into the European Union. He has also worked at the Polish Insurance and Pension Authority where he was responsible for market research, consumer protection and its foreign relations, representing the Authority at the IAIS and CEIOPS meetings. In the past four years he was associated with the Geneva Association at the implementation of the PROGRES Research Programme on Regulation and Supervision.
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