Preliminaries; Contents; 1. Key Concepts; 2. Country Analysis I; 3. Country Analysis II; 4. Summary of Failures and Near Failures, Resolutions, and Significant Incidents; 5. Too-Big-to-Fail: An International Perspective; 6. Prudential Regulation of Banks: Is It Effective?; 7. Crisis in Thailand: A Case Study; Appendix: Bank Failures, Systemic Risk, and Bank Regulation; Bibliography; Index
Summary
This is a broad analysis of why banks failed, or nearly failed, in the G-10 countries during the volatile years since 1980s. It also looks at what governments should do now to solve the ever-growing problem of failures
Bibliography
Includes bibliographical references (pages 153-169) and index