Issue Information

Date01 November 2017
Published date01 November 2017
DOIhttp://doi.org/10.1111/fmii.12073
FINANCIAL MARKETS,
INSTITUTIONS &INSTRUMENTS
VOLUME 26 NUMBER 4
TooBig to Fail: Measures, Remedies, and Consequences for Efficiency
and Stability
CONTENTS
1. INTRODUCTION .............................................................. 175
2. A BRIEF HISTORY OF TOO-BIG-TO-FAIL ..................................... 177
3. HOW BIG ARE THE WORLD'SBIGGEST BANKS,AND BY WHAT
MEASURES? ................................................................... 179
4. COMPLEXITY AND SYSTEMIC RISK .......................................... 193
5. EMPIRICAL EVIDENCE ON SIZE,COMPLEXITY,ANDRISK ................... 217
6. APPROACHES TO MITIGATE“TOO BIG TO FAIL ............................ 229
7. CONCLUSIONS:ISTHERE A CONFLICT BETWEEN EFFICIENCY AND
STABILITY?.................................................................... 239
8. NOTES ON CONTRIBUTOR/ACKNOWLEDGMENTS .......................... 241

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