LEADER 00000cam 2200673Ii 4500 001 ocn898723353 003 OCoLC 005 20200419055356.4 006 m o d 007 cr cnu|||unuuu 008 141224s2015 si a ob 001 0 eng d 015 GBB970475|2bnb 016 7 019352719|2Uk 019 1005769749|a1026459798|a1048132991|a1066429184|a1066580092 |a1110407744|a1111259672|a1112549770 020 9789812872845|q(electronic book) 020 9812872841|q(electronic book) 020 9812872833|q(print) 020 9789812872838|q(print) 020 |z9789812872838 024 7 10.1007/978-981-287-284-5|2doi 035 (OCoLC)898723353|z(OCoLC)1005769749|z(OCoLC)1026459798 |z(OCoLC)1048132991|z(OCoLC)1066429184|z(OCoLC)1066580092 |z(OCoLC)1110407744|z(OCoLC)1111259672|z(OCoLC)1112549770 037 com.springer.onix.9789812872845|bSpringer Nature 040 GW5XE|beng|erda|epn|cGW5XE|dCOO|dYDXCP|dOCLCF|dVLB|dIAO |dIAS|dJBG|dIAD|dSOI|dILO|dICN|dOCLCQ|dZ5A|dFIE|dOCLCQ |dINA|dESU|dOCLCQ|dVT2|dIOG|dREB|dU3W|dCEF|dMUO|dWYU |dOAPEN|dOCLCQ|dUKMGB|dOCLCA|dOCLCQ|dCDN|dUWK|dUPM|dERF 043 a------ 049 STJJ 050 4 HG3881|b.A94 2015eb 072 7 KFF|2bicssc 072 7 KFFK|2bicssc 072 7 BUS027000|2bisacsh 072 7 BUS004000|2bisacsh 072 7 KFF|2thema 082 04 337|223 100 1 Azis, Iwan J.|q(Iwan Jaya),|d1953-|eauthor. 245 10 Managing elevated risk :|bglobal liquidity, capital flows, and macroprudential policy -- An Asian perspective /|cIwan J. Azis, Hyun Song Shin. 264 1 Singapore :|bSpringer,|c2015. 300 1 online resource (viii, 124 pages) :|billustrations 336 text|btxt|2rdacontent 337 computer|bc|2rdamedia 338 online resource|bcr|2rdacarrier 347 text file|bPDF|2rda 504 Includes bibliographical references and index. 505 0 Foreword -- Chapter 1: Introduction and Overview -- Chapter 2: The Three Phases of Global Liquidity -- 2.1: Conceptual and Measurement Issues -- 2.2: First Phase of Global Liquidity -- 2.2.1: Round-trip Bank Flows to the US -- 2.2.2: Banking Sector Flows to the Rest of the World -- 2.2.3: Exchange Rates and Leverage -- 2.3: Second Phase of Global Liquidity -- 2.4: The Case of Emerging Asia -- 2.5: Third Phase and Onward -- 2.6: References -- Chapter 3: Early Warning Indicators for Financial Vulnerabilities -- 3.1: Principles for Selection of Early Warning Indicators -- 3.2: Core and Noncore Liabilities -- 3.3: References -- Chapter 4: Emerging Asia's Noncore Liabilities and Policy Effectiveness -- 4.1: Bank-led Flows, Noncore Liabilities, and Credit Growth -- 4.2: Reassessing Monetary Policy -- 4.3: Appendix -- 4.4: References -- Chapter 5: Capital Flows and Income Distribution -- 5.1: National Policy Remains Key -- 5.2: How Capital Flows Affect Income Inequality -- 5.3: Prioritization for a Multi-Objective Goal -- 5.4: Appendix -- 5.5: References -- Chapter 6: Policy Implications -- 6.1 Tailoring Policies to Vulnerabilities -- 6.2 Macroprudential Tools -- 6.2.1 Bank Capital-Oriented Tools -- 6.2.1.1 Capital Requirements that Adjust Over the Cycle -- 6.2.1.2 Forward-Looking Provisioning -- 6.2.1.3: Leverage caps -- 6.2.1.4: Loan-To -Value and Debt-Service-To-Income Caps -- 6.2.1.5: Loan-to -Deposit caps -- 6.2.1.6: Levy on Noncore Liabilities -- 6.2.1.7: Unremunerated Reserve Requirements -- 6.2.2: Relative Merits of URR versus Levies/Taxes -- 6.2.3: Relationship with other Stabilization Policies -- 6.3: Financial Integration and Institutional Design -- 6.4: Policy Choices -- 6.5: References. 520 This book discusses the risks and opportunities that arise in Emerging Asia given the context of a new environment in global liquidity and capital flows. It elaborates on the need to ensure financial and overall economic stability in the region through improved financial regulation and other policy measures to minimize the emergent risks. "Managing Elevated Risk: Global Liquidity, Capital Flows, and Macroprudential Policy?An Asian Perspective" also explores the range of policy options that may be deployed to address the impact of global liquidity on domestic financial and socio-economic conditions including income inequality. The book is primarily aimed at policy makers, financial market regulators and supervisory agencies to help them improve national regulatory systems and to promote harmonization of national regulations and practices in line with global standards. Scholars and researchers will also gain important information and knowledge about the overall impacts of changing global liquidity from the book. 588 0 Online resource; title from PDF title page (SpringerLink, viewed December 24, 2014). 590 SpringerLink|bSpringer Nature Open Access eBooks 650 0 International liquidity. 650 0 Financial risk|zAsia. 650 7 Coins, banknotes, medals, seals (numismatics)|2bicssc 650 7 Economic policy.|2fast|0(OCoLC)fst00902025 650 7 Financial risk.|2fast|0(OCoLC)fst01739663 650 7 International liquidity.|2fast|0(OCoLC)fst00977026 651 0 Asia|xEconomic policy. 651 7 Asia.|2fast|0(OCoLC)fst01240495 700 1 Shin, Hyun Song,|eauthor. 776 08 |iPrinted edition:|z9789812872838 914 ocn898723353 994 92|bSTJ
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