Preface |
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ix | |
Acknowledgements |
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xi | |
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1 | (38) |
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Central Banks and the Financial Turmoil |
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3 | (8) |
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Jose Manuel Gonzalez-Paramo |
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The Implications of the Credit Crisis for Public Policy |
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11 | (12) |
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23 | (6) |
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Trust and Financial Markets |
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29 | (10) |
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II. What Happened, Where? |
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39 | (62) |
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A View of the U.S. Subprime Crisis |
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41 | (26) |
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What Has Happened in Europe? Monetary Policy, Lending Cycles, Banking Competition, Risk-Taking, and Regulation |
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67 | (20) |
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The Subprime Crisis Effects in the Rest of the World |
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87 | (14) |
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III. How Serious is the Damage? |
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101 | (38) |
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Bank Failures: The Limitations of Risk Modeling |
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103 | (22) |
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Comments: How Serious is the Damage? |
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125 | (14) |
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IV. Why did It Go Undetected/Underestimated for So Long? |
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139 | (54) |
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Cliff Risk and the Credit Crisis |
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141 | (20) |
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The Credit Crunch of 2007: What Went Wrong? Why What Lessons Can be Learned? |
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161 | (11) |
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Overdependence on Credit Ratings was a Primary Cause of the Crisis |
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172 | (21) |
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V. Experience with Crisis Management |
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193 | (46) |
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Liquidity Management Under Market Turmoil: Experience of the European Central Bank in the First Year of the 2007-2008 Financial Market Crisis |
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195 | (34) |
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Crisis Management and Financial Stability: Some Lessons from the United Kingdom |
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229 | (10) |
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VI. Implications for Basel II and Bank Capital Regulation |
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239 | (70) |
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Risk Management Failures During the Financial Crisis |
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241 | (26) |
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A Supervisor's View of the Current Financial Turmoil |
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267 | (14) |
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The Subprime Crisis: Lessons About Market Discipline |
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281 | (24) |
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Comments: Implications for Bank Capital Standards/Regulation |
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305 | (4) |
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VII. Implications for Regulation of Financial Markets and Instruments |
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309 | (36) |
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Implications of the Crisis for Regulation |
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311 | (14) |
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The Seven Deadly Frictions of Subprime Mortgage Credit Securitization |
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325 | (20) |
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VIII. Policy Panel: Where to From Here? |
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345 | (38) |
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Where to From Here?: Lessons for Research, Policy and the Industry |
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347 | (6) |
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Tarp Version 1: A Turning Point in Crisis Management |
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353 | (14) |
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Financial Crises: Seeing Patterns, Limiting Risks |
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367 | (4) |
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Addressing the Credit Market Turmoil of 2007-08 |
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371 | (6) |
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377 | (6) |
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Conference Agenda |
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383 | (6) |
Index |
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389 | |