<図書>
Coping with financial fragility and systemic risk
責任表示 | edited by Harald A. Benink |
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シリーズ | Financial and monetary policy studies ; 30 |
データ種別 | 図書 |
出版情報 | Boston : Kluwer Academic Publishers , c1995 |
本文言語 | 英語 |
大きさ | 294 p. : ill. ; 25 cm |
概要 | Coping with Financial Fragility and Systemic Risk identifies and discusses the sources of perceived fragility in financial institutions and markets and its potential consequences throughout the econo...y. It then examines private sector solutions for dealing with systemic risk and mitigating the consequences. Finally, the book examines regulatory solutions to these problems. 続きを見る |
所蔵情報
状態 | 巻次 | 所蔵場所 | 請求記号 | 刷年 | 文庫名称 | 資料番号 | コメント | 予約・取寄 | 複写申込 | 自動書庫 |
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中央図 3B | 338.1/B 35/1 | 1995 |
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017211997006237 |
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書誌詳細
一般注記 | "Parts of the book are reprinted from the Journal of financial services research, vol. 9, nos. 3-4 (1995)" Includes bibliographical references |
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著者標目 | Benink, H. A. |
件 名 | LCSH:Finance LCSH:Banks and banking LCSH:Risk LCSH:International finance |
分 類 | NDC9:338.1 LCC:HG173 DC20:332 |
書誌ID | 1000337422 |
ISBN | 079239612X |
NCID | BA27473539 |
巻冊次 | ISBN:079239612X |
登録日 | 2009.09.11 |
更新日 | 2009.09.11 |