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Book
Author Bakır, Caner.

Title Bank behaviour and resilience : the effect of structures, institutions and agents / Caner Bakir
Published Houndmills, Basingstoke, Hampshire : Palgrave Macmillan, 2013

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 WATERFT BUSINESS  332.1 Bak/Bba  AVAILABLE
Description xvii, 214 pages ; 23 cm
Series Palgrave Macmillan studies in banking and financial institutions
Palgrave Macmillan studies in banking and financial institutions.
Contents Contents note continued: 1.7.The organisation of the book -- 2.Institutional Theory and Varieties of National Financial Systems -- 2.1.Introduction -- 2.2.Institutional theory -- 2.3.Institutional change and institutional policy entrepreneurship -- 2.4.Comparative analysis of national financial systems -- 2.4.1.Classification of national financial systems -- 2.4.2.Policy network approach and varieties of financial systems -- 2.5.Conclusion -- 3.The Sources and Consequences of Bank Behaviour -- 3.1.Introduction -- 3.2.Australian banking sector in a comparative perspective -- 3.3.Structural complementarities -- 3.3.1.Macroeconomic structure -- 3.3.2.Market structure -- 3.3.3.Currency structure -- 3.3.4.Ideational structure -- 3.4.Institutional complementarities and agency-level enabling conditions -- 3.4.1.Prudential regulation/supervision and agency-level enabling conditions -- 3.4.2.Monetary policy and agency-level enabling conditions --
Contents note continued: 3.4.3.Business model, culture and corporate governance in banking -- 3.4.4.Competition regulation and agency-level enabling conditions -- 3.4.5.Tax policy, government subsidies and legal system that relate to product markets, and agency-level enabling conditions -- 3.5.Conclusion -- 4.The Political Economy of Prudential Regulation in Australia -- 4.1.Introduction -- 4.2.State capacity in the Australian financial services industry during the Wallis era -- 4.3.Mobilisation and conflict over the institutional change in financial regulation -- 4.4.The ̀twin peaks' idea and institutional policy entrepreneurship -- 4.5.Conclusion -- 5.The Political Economy of Competition Regulation in Australia -- 5.1.Introduction -- 5.2.The ̀six pillars' policy -- 5.3.Mobilisation and conflict over the mega-bank merger policy -- 5.3.1.Political money and political investment -- 5.3.2.A struggle for esoteric politics -- 5.3.3.A struggle for exoteric politics --
Contents note continued: 5.3.4.The government's response -- 5.3.5.Corporate politics -- 5.3.6.A battle at the legislative stage -- 5.4.Merger policy outcome -- 5.5.The Australian exceptionalism in a brief comparison -- 5.6.Conclusion -- 6.Conclusion -- 6.1.Bank behaviour and resilience in Australia, Canada, the US, UK, Germany and Japan -- 6.2.Institutional change in prudential regulation/supervision -- 6.3.Institutional persistence in competition regulation -- 6.4.Discussion of findings and their implications -- 6.5.Toward a typological theory of bank behaviour and the SIA framework of institutional change -- 6.6.Limitations and implications for future research -- 6.7.Final thought
Machine generated contents note: 1.Sources of Bank Behaviour and Institutional Change: Interactions among Structures, Institutions and Agents -- 1.1.Introduction -- 1.2.SIA framework and the typology of bank behaviour -- 1.3.Structural complementarities -- 1.3.1.Macroeconomic structure -- 1.3.2.Market structure -- 1.3.3.Currency structure -- 1.3.4.Ideational structure -- 1.4.Institutional complementarities and agency-level enabling conditions -- 1.4.1.Prudential regulation/supervision and agency-level enabling conditions -- 1.4.2.Monetary policy and agency-level enabling conditions -- 1.4.3.Business model, organisational culture and corporate governance in banking -- 1.4.4.Competition regulation and agency-level enabling conditions -- 1.4.5.Tax policy, government subsidies and legal systems that relate to product markets and agency-level enabling conditions -- 1.5.Institutional change and persistence and agency-level enabling conditions -- 1.6.Methodology --
Summary This book provides new interdisciplinary and comparative answers as to why banking sectors in liberal and coordinated market economies operated under a shared set of rules during the Global Financial Crisis. It exploring the role of complex interactions among interdependent structures, institutions and agents defines this banking behavior
Notes Formerly CIP. Uk
Bibliography Includes bibliographical references and index
Notes Print version record
Subject Banks and banking -- History -- 21st century.
Banks and banking.
Financial institutions.
Free enterprise.
Global Financial Crisis, 2008-2009.
Monetary policy.
LC no. 2012048092
ISBN 0230202470
9780230202474
Other Titles Bank behavior and resilience