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Systemic Risk: A Practitioner’s Guide to Measurement, Management and Analysis

References: Chapter 2

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This book provides readers with a wide-ranging guide to systemic risk in the financial system. References in Chapter 2 include:

 

Competition & Markets Authority (2016). Retail banking market investigation: Final Report. UK Competition & Markets Authority

Economist (2016). WeChat's World. The Economist, 6 August 2016

ESRB (2014c). Is Europe Overbanked? European Systemic Risk Board

European Union (2010). Regulation (EU) No 1092/2010. European Union

European Union (2013a). Capital Requirements Directive, i.e. Directive 2013/36/EU. European Union

European Union (2013b). Capital Requirements Regulation, i.e. Regulation (EU) No 575/2013. European Union

Ferguson, N. (2009). The Ascent of Money. Penguin Books, London, UK

IMF (2016). Global Financial Stability Report, April 2016, Chapter 3: The Insurance Sector - Trends and Systemic Risk Implications. International Monetary Fund

Kriwaczek, P. (2010). Babylon: Mesopotamia and the Birth of Civilization. Atlantic Books, London

Mackay, C. (1841). Extraordinary Popular Delusions and The Madness of Crowds. Wordsworth Reference, Ware, Hertfordshire, UK

PRA (2012). The PRA's approach to banking supervision. The Bank of England, Prudential Regulation Authority

PwC (2016). PwC Global FinTech Report March 2016: Blurred lines: How FinTech is shaping Financial Services. PwC

Schwarcz, S.L. (2008). Systemic Risk. Duke Law School Legal Studies Research Paper 163

Wolf, M. (2015). Good news - fintech could disrupt finance. Financial Times

 

 

References in other chapters are available here.

 


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