Bank Resolution

Bank Resolution

Author: Jens-Hinrich Binder

Publisher: Oxford University Press, USA

Published: 2016

Total Pages: 0

ISBN-13: 9780198754411

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Responding to lessons learned during the global financial crisis, the EU Directive on the Recovery and Resolution of Banks and Securities Firms (the BRRD) has substantially changed the legal framework for insolvency management of financial services institutions across Europe. As the legislative process has been completed with the adoption of the BRRD, and of Regulation No 806/2014 establishing the Single Resolution Mechanism, this book offers a unique insight into the new European framework for the resolution of banks in distress. The chapters in this volume take stock of what has been achieved and present an insightful analysis of both the technical framework and its impact on banking institutions and their counterparties in representative forms of banking activities, including retail and wholesale depositors, counterparties to financial directives, and the providers of relevant parts of the market infrastructure. Special attention is given to the international coordination of resolution. The book's focus is on resolution and its impact on the relationships between banks, customers, other market participants and market infrastructure, including the preventative requirements on recovery and resolution planning under the BRRD. The chapters bring together a wide range of perspectives by scholars, practitioners from regulatory authorities and other parts of the financial safety net, as well as from private practice, from many jurisdictions, and both legal and economic backgrounds. Arranged broadly in line with the structure of the BRRD, the book is a highly useful reference for practitioners, policy-makers, and academics alike.


Investing with Confidence

Investing with Confidence

Author: Kevin W. Lu

Publisher: World Bank Publications

Published: 2009

Total Pages: 316

ISBN-13: 082137981X

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Coinciding with the Multilateral Investment Guarantee Agency's (MIGA) twentieth anniversary, "Investing with Confidence: Understanding Political Risk Management in the 21st Century" examines key political risk issues including claims and arbitration, perspectives on pricing from the private, public and multilateral providers, as well as exploring new frontiers in sovereign wealth funds and Islamic finance. These topics are particularly relevant for today's uncertain markets, and provide important analysis and thinking from key practioners and clients. Political risk insurance is critical to maintaining flows of foreign direct investment into developing markets; this volume offers valuable insights for practitioners and investors alike.


Bank Resolution and Crisis Management

Bank Resolution and Crisis Management

Author: Simon Gleeson

Publisher:

Published: 2016

Total Pages:

ISBN-13: 9780191820298

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A comprehensive and practical guide to the new resolution regimes and strategies for resolving banks, including coverage of the UK, European, U.S. and international frameworks. Providing expert analysis of the new resolution regimes and strategies, it explains the impact on banking and investment practice and transactions.


Cross-Border Bank Resolution - Recent Developments

Cross-Border Bank Resolution - Recent Developments

Author: International Monetary Fund

Publisher: International Monetary Fund

Published: 2014-02-06

Total Pages: 41

ISBN-13: 1498343287

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Developing an effective framework for cross-border resolution is a key priority in international regulatory reform. Large bank failures during the global financial crisis brought home the lack of adequate tools for resolving “too-big-to-fail” institutions. In cross-border cases, misaligned incentives and lack of robust mechanisms for resolution and cross-border cooperation left some country authorities with little choice but to take unilateral actions, which contributed to the high fiscal costs of the crisis and resulted in disorderly resolution in some cases


The Bank Recovery and Resolution Directive

The Bank Recovery and Resolution Directive

Author: Patrick S. Kenadjian

Publisher: Walter de Gruyter

Published: 2013-07-31

Total Pages: 276

ISBN-13: 3110321408

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The volume is a collection of articles based on presentations given at a conference titled “The Crisis Management Directive – Europe’s Answer for Too Big to Fail?” hosted by the Institute for Law and Finance on May 3, 2012.


Resolution and Insolvency of Banks and Financial Institutions

Resolution and Insolvency of Banks and Financial Institutions

Author: Michael Schillig

Publisher: Oxford University Press, USA

Published: 2016

Total Pages: 0

ISBN-13: 9780198703587

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Discussing the legal mechanisms available in the EU and the United States to deal with banks and other financial institutions that are in financial distress, this book analyses the impact of the Bank Recovery and Resolution Directive looking at implementation in the UK and Germany, and uses US law as a comparative reference point.


Central Counterparties Resolution—An Unresolved Problem

Central Counterparties Resolution—An Unresolved Problem

Author: Mr.Manmohan Singh

Publisher: International Monetary Fund

Published: 2018-03-20

Total Pages: 23

ISBN-13: 1484347307

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Recovery and resolution regimes are being developed for central counterparties (CCPs). We analyse current resolution tools in the context of policy, which is to restore the critical functions of a failed CCP. We conclude that the toolkit is insufficient to avoid the costs of resolution being borne by taxpayers, and propose alternative policy suggestions for addressing the problem of a failed CCP.


The Single Resolution Mechanism

The Single Resolution Mechanism

Author: Robby Houben

Publisher:

Published: 2017

Total Pages: 0

ISBN-13: 9789400007789

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This book takes stock after a year of application of the SRM and examines the situation from various perspectives: the perspective of the SRB, the NRA, the supervised bank and judicial protection. Special attention is given to the division of power between the RB and the NRA and the impact on the supervised bank, the relationship and links between the SRM and the SSM and the query whether the right balance between national and supranational powers has been struck, also in view of the principle of subsidiarity.


Managing Systemic Banking Crises

Managing Systemic Banking Crises

Author: Ms.Marina Moretti

Publisher: International Monetary Fund

Published: 2020-02-11

Total Pages: 88

ISBN-13: 1513512277

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This paper updates the IMF’s work on general principles, strategies, and techniques from an operational perspective in preparing for and managing systemic banking crises in light of the experiences and challenges faced during and since the global financial crisis. It summarizes IMF advice concerning these areas from staff of the IMF Monetary and Capital Markets Department (MCM), drawing on Executive Board Papers, IMF staff publications, and country documents (including program documents and technical assistance reports). Unless stated otherwise, the guidance is generally applicable across the IMF membership.