The New Bail-In Legislation - Angela Maria Maddaloni, Giulia Scardozzi

The New Bail-In Legislation

An Analysis of European Banking Resolution
Buch | Softcover
XIII, 85 Seiten
2022 | 1st ed. 2022
Springer International Publishing (Verlag)
978-3-030-87562-6 (ISBN)
69,54 inkl. MwSt
Financial stability is a pillar of well-functioning financial markets. After the last financial crisis, European policymakers harmonised banking regulation and revised the framework of banking resolution. The introduction of the bail-in legislation is a natural experiment to improve the understanding of banking resolution and how it affected the funding strategies of banks. This book assesses whether financial stability has been strengthened by the change in banks' resolution policy with a focus on the bail-in. The book shows how banks changed their funding strategies, shrank their balance-sheets and relied more on deposits. The book will discuss inter-alia the mis-selling of bonds, which happened during 2012-2013, analysing whether the bond allocation changed after the bail-in launch. It discusses how the bail-in mechanism was deemed credible by equity holders and argues that the European case would have useful implications for third countries. Finally, the book relates this discussion to the possible collateral effects generated by the new resolution policy during and after the COVID-19 crisis, which will be of particular interest to researchers and policymakers in banking and financial institutions.

Angela Maddaloni is Head of the Financial Intermediation Research Section in the Directorate General Research of the European Central Bank, where she has worked since 2001. Her research and policy interest cover a wide range of topics related to financial intermediation, macro-financial linkages, the transmission of monetary policy, credit and business cycles and the impact of financial regulation. Giulia Scardozzi is a temporary research fellow at University of Roma TRE, Italy. She received her PhD in December 2020 at University of Roma TorVergta, Italy. 

Chapter 1: The new resolution framework.- Chapter 2: Bank funding strategies after the bail-in announcement.- Chapter 3: Risk Allocation and bond misselling after the bail-in directive.- Chapter 4: Bond allocation after the bank resolution cases.- Chapter 5: Market reaction at the resolution events.

Erscheinungsdatum
Reihe/Serie Palgrave Macmillan Studies in Banking and Financial Institutions
Zusatzinfo XIII, 85 p. 11 illus., 9 illus. in color.
Verlagsort Cham
Sprache englisch
Maße 148 x 210 mm
Gewicht 142 g
Themenwelt Recht / Steuern Wirtschaftsrecht Bank- und Kapitalmarktrecht
Wirtschaft Betriebswirtschaft / Management Finanzierung
Wirtschaft Volkswirtschaftslehre Finanzwissenschaft
Wirtschaft Volkswirtschaftslehre Makroökonomie
Schlagworte Bail-in resolution • Bank Funding • Central Banking • European Banking regulation • risk allocation and market reaction
ISBN-10 3-030-87562-8 / 3030875628
ISBN-13 978-3-030-87562-6 / 9783030875626
Zustand Neuware
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