Complexity and Crisis in the Financial System: Critical Perspectives on the Evolution of American and British Banking

Author:   Matthew Hollow ,  Folarin Akinbami ,  Ranald Michie
Publisher:   Edward Elgar Publishing Ltd
ISBN:  

9781783471324


Pages:   360
Publication Date:   29 January 2016
Format:   Hardback
Availability:   To order   Availability explained
Stock availability from the supplier is unknown. We will order it for you and ship this item to you once it is received by us.

Our Price $313.50 Quantity:  
Add to Cart

Share |

Complexity and Crisis in the Financial System: Critical Perspectives on the Evolution of American and British Banking


Overview

What are the long-term causes and consequences of the global financial crisis of 2007-2008? This book offers a fresh perspective on these issues by bringing together a range of academics from law, history, economics and business to look in more depth at the changing relationships between crises and complexity in the US and UK financial markets.The contributors are motivated by three main questions: Is the present financial system more complex than in the past and, if so, why? To what extent, and in what ways, does the worldwide financial crisis of 2007-2008 differ from past financial crises? How can governments, regulators and businesses better manage and deal with increased levels of complexity both in the present and in the future? Students and scholars of finance, economics, history, financial law, banking and international business will find this book to be of interest. It will also be of use to regulators and policymakers involved in the US and UK banking sectors. Contributors: F. Akinbami, T. T. Arvind, P.H. Bent, M. Billings, I. Bond, R.F. Bruner, A. Campbell, S.D. Carr, M. Casson, J.M. Dahlgreen, J. Foreman-Peck, J. Gray, L. Hannah, M. Hollow, A. Mehedi, D.T. Mitchell, R. Michie, J. Singleton, J. Taylor, R. Tomasic, S. Wilson

Full Product Details

Author:   Matthew Hollow ,  Folarin Akinbami ,  Ranald Michie
Publisher:   Edward Elgar Publishing Ltd
Imprint:   Edward Elgar Publishing Ltd
Dimensions:   Width: 15.60cm , Height: 2.50cm , Length: 23.40cm
Weight:   0.688kg
ISBN:  

9781783471324


ISBN 10:   1783471328
Pages:   360
Publication Date:   29 January 2016
Audience:   College/higher education ,  Postgraduate, Research & Scholarly
Format:   Hardback
Publisher's Status:   Active
Availability:   To order   Availability explained
Stock availability from the supplier is unknown. We will order it for you and ship this item to you once it is received by us.

Table of Contents

Contents: Introduction - Rethinking the Crisis–Complexity Nexus Matthew Hollow PART I COMPLEXITY AND CRISES IN FINANCIAL SYSTEMS 1. Financial Innovation and the Consequences of Complexity: Insights from Major US Banking Crises Robert F. Bruner, Sean D. Carr and Asif Mehedi 2. Entrepreneurial Failure and Economic Crisis: A Historical Perspective Mark Casson 3. Nature or Nurture: The British Financial System since 1688 Ranald Michie 4. The British Banking Population: 1790 to 1982 Ian Bond PART II LEGISLATIVE AND STRUCTURAL CHANGES IN THE FINANCIAL SECTOR 5. From Tort to Finance: Delaware’s Sedative Duty to Monitor Dalia Tsuk Mitchell 6. Demutualization and Risk: The Rise and Fall of the British Building Society Andrew Campbell and Judith M. Dahlgreen 7. Directors in the Dock: Joint-stock Banks and the Criminal Law in Nineteenth-century Britain James Taylor 8. UK Corporate Law and Corporate Governance before 1914: A Re-interpretation James Foreman-Peck and Leslie Hannah 9. Effective Risk Management and Improved Corporate Governance Roman Tomasic and Folarin Akinbami PART III MANAGING AND REGULATING COMPLEX FINANCIAL SYSTEMS 10. The Historical Development of the US Government’s Responses to Economic and Financial Crises Peter H. Bent 11. From the Mid-nineteenth-century Bank Failures in the UK to the Twenty-first-century Financial Policy Committee – Changing Views of Responsibility for Systemic Stability T. T. Arvind, Joanna Gray and Sarah Wilson 12. Financial Reporting, Banking and Financial Crisis: Past, Present and Future Mark Billings 13. Financial Crises and Disaster Management John Singleton Index

Reviews

'This volume truly brings together an interdisciplinary, long-term, financial and legal understanding of financial crises. Contributions from top scholars in the different fields make this a must read for anyone interested in the business and economic development of financial institutions and practices.' -- Bernardo Batiz-Lazo, Bangor University, UK 'This important collection of essays uses the historical experiences of various countries to explore how the increasing complexity of financial systems has magnified the risk of crises. I'm extremely confident that this book will be consulted by scholars in disciplines ranging from law to finance to history. I also sincerely hope that this book will also be read by the public servants responsible for macroprudential regulation and the prevention of future financial crises.' -- Andrew Smith, University of Liverpool Management School, UK


'This volume truly brings together an interdisciplinary, long-term, financial and legal understanding of financial crises. Contributions from top scholars in the different fields make this a must read for anyone interested in the business and economic development of financial institutions and practices.'- Bernardo Batiz-Lazo, Bangor University, UK; 'This important collection of essays uses the historical experiences of various countries to explore how the increasing complexity of financial systems has magnified the risk of crises. I'm extremely confident that this book be consulted by scholars in disciplines ranging from law to finance to history. I also sincerely hope that this book will also be read by the public servants responsible for macroprudential regulation and the prevention of future financial crises.'- Andrew Smith, University of Liverpool Management School, UK


‘This volume truly brings together an interdisciplinary, long-term, financial and legal understanding of financial crises. Contributions from top scholars in the different fields make this a must read for anyone interested in the business and economic development of financial institutions and practices.’ -- Bernardo Batiz-Lazo, Bangor University, UK ‘This important collection of essays uses the historical experiences of various countries to explore how the increasing complexity of financial systems has magnified the risk of crises. I’m extremely confident that this book will be consulted by scholars in disciplines ranging from law to finance to history. I also sincerely hope that this book will also be read by the public servants responsible for macroprudential regulation and the prevention of future financial crises.’ -- Andrew Smith, University of Liverpool Management School, UK


Author Information

Edited by Matthew Hollow, University of York, Folarin Akinbami and the late Ranald Michie, formerly Durham University, UK

Tab Content 6

Author Website:  

Countries Available

All regions
Latest Reading Guide

NOV RG 20252

 

Shopping Cart
Your cart is empty
Shopping cart
Mailing List