Книги
Systemic Risk in the Financial Sector
Systemic Risk in the Financial Sector : Ten Years after the Great Crash / Center for International Governance Innovation; ed. D. W. Arner [et al.]. — Waterloo : CIGI, 2019. — 286 p.: il.. — ISBN 978-1-928096-89-4 : 7053.97 р.
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УДК:336
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ISBN:978-1-928096-89-4
Рекомендовано к ознакомлению
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- 3. Financial Market Regulation and Reforms in Emerging Markets / ed.: Masahiro Kawai, E. S. Prasad. — Tokyo : Asian Development Bank Institute, 2011. — 425 p.
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- 7. New Perspectives on Asset Price Bubbles: Theory, Evidence, and Policy / ed.: D. D. Evanoff, G. G. Kaufman, A. G. Malliaris. — Oxford : Oxford University Press, 2012. — 462 p.. — ISBN 978-0-19-984440-1.
- 8. Goodhart, C.A.E. The Regulatory Response to the Financial Crisis / C.A.E. Goodhart. — Cheltenham : E. Elgar, 2009. — 152 p.
- 9. Barwell, R. Macroprudential Policy / R. Barwell. — Basingstoke : Palgrave Macmillan, 2013. — 378 p.. — ISBN 9781137274458.
- 10. Bollard, A. Crisis: one Central Bank Governor and the Global Financial Collapse / A. Bollard. — Updated edition. — Auckland : Auckland University Press, 2012. — 253 p.. — ISBN 978-1-86940-740-7.
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