The banking sector under financial stability /

Many economies in the world are characterised by a bank-based financial system, that is, the financial intermediation process is mostly performed by banks. It is therefore critically important to undertake a fully-fledged analysis of the banking sector with respect to financial stability risks. ...

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Bibliographic Details
Main Author: Ramlall, Indranarain, (Author)
Format: eBook
Language:English
Published: Bingley, U.K. : Emerald Publishing Limited, 2018.
Series:The theory and practice of financial stability ; volume 2
Subjects:
Online Access:https://ezaccess.library.uitm.edu.my/login?url=https://www.emerald.com/insight/publication/doi/10.1108/9781787696815
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245 1 4 |a The banking sector under financial stability /  |c by Indranarain Ramlall (University of Mauritius, Mauritius). 
264 1 |a Bingley, U.K. :  |b Emerald Publishing Limited,  |c 2018. 
264 4 |c ©2019 
300 |a 1 online resource (xxiii, 231 pages) ;  |c cm. 
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490 0 |a The theory and practice of financial stability ;  |v volume 2 
504 |a Includes bibliographical references and index. 
505 0 |a Prelims -- Banks, risks and risk management -- Banking sector and financial stability -- A framework for financial stability risk assessment in banks Banks, macroeconomic states, asset prices, household sector and monetary policy -- Basel III -- Microprudential and macroprudential regulation -- banks and policies -- Differences between US and European Union under different financial perspectives -- Some practical issues in credit risk modelling -- References -- Index. 
520 |a Many economies in the world are characterised by a bank-based financial system, that is, the financial intermediation process is mostly performed by banks. It is therefore critically important to undertake a fully-fledged analysis of the banking sector with respect to financial stability risks. 'The Banking Sector Under Financial Stability' considers the unique position of banks which by nature assume higher risks, but with a low equity to total assets ratio. It recognises that balance sheet analysis of banks becomes a key element in financial stability risk assessment and that the sources of banks' funding also pose risks to financial stability. The book also gives due consideration to the interactive forces which prevail among banks, macroeconomic states, asset prices, the household sector, and monetary policy. The differences between the US and the European Union are also covered at length, as are the various credit risk models pertinent for banks This book will prove valuable to central bankers, economists, and policy-makers who are involved in the field of financial stability, as well as researchers studying the field.  
526 0 |a Arshad Ayub Graduate Business School (AAGBS)  |z Reference Materials 
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720 1 |a Arshad Ayub Graduate Business School (AAGBS) 
720 1 |a Wahida Ahmad  |e Requestor 
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