Financial Stability Paper No 5: The UK Special Resolution Regime for Failing Banks in an International Context
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Note: http://www.bankofengland.co.uk/financialstability/Pages/fpc/fspapers/fs_paper05.aspx
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References listed on IDEAS
- Wall, Larry D. & Eisenbeis, Robert A. & Frame, W. Scott, 2005.
"Resolving large financial intermediaries: Banks versus housing enterprises,"
Journal of Financial Stability, Elsevier, vol. 1(3), pages 386-425, April.
- Robert A. Eisenbeis & W. Scott Frame & Larry D. Wall, 2004. "Resolving large financial intermediaries: banks versus housing enterprises," FRB Atlanta Working Paper 2004-23, Federal Reserve Bank of Atlanta.
- Robert R. Bliss, 2003. "Bankruptcy law and large complex financial organizations: a primer," Economic Perspectives, Federal Reserve Bank of Chicago, vol. 27(Q I), pages 48-58.
Citations
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Cited by:
- Herring, Richard J., 2010. "Wind-Down Plans As an Alternative to Bailouts: The Cross-Border Challenges," Working Papers 10-08, University of Pennsylvania, Wharton School, Weiss Center.
- Christopher J. Green, 2011. "‘The Day the Music Died’: The Financial Tsunami of 2007–09," Chapters, in: Christopher J. Green & Eric J. Pentecost & Tom Weyman-Jones (ed.), The Financial Crisis and the Regulation of Finance, chapter 2, Edward Elgar Publishing.
- Annemarie van der Zwet, 2011. "Crisis Management Tools in the EU: What Do We Really Need?," DNB Occasional Studies 902, Netherlands Central Bank, Research Department.
- David Liebeg & Michaela Posch, 2011. "Macroprudential Regulation and Supervision: From the Identification of Systemic Risks to Policy Measures," Financial Stability Report, Oesterreichische Nationalbank (Austrian Central Bank), issue 21, pages 62-78.
- repec:eme:jfrcpp:v:20:y:2012:i:2:p:116-146 is not listed on IDEAS
- Chennells, Lucy & Wingfield, Venetia, 2015. "Bank failure and bail-in: an introduction," Bank of England Quarterly Bulletin, Bank of England, vol. 55(3), pages 228-241.
- Siegert, Casper & Willison, Matthew, 2015. "Financial Stability Paper 32: Estimating the extent of the ‘too big to fail’ problem – a review of existing approaches," Bank of England Financial Stability Papers 32, Bank of England.
- A. Michael Andrews, 2014. "Effective resolution regimes for financial institutions in ASEAN+3," Chapters, in: Iwan J. Azis & Hyun S. Shin (ed.), Global Shock, Risks, and Asian Financial Reform, chapter 12, pages 464-509, Edward Elgar Publishing.
- David Mayes, 2011. "The future of financial markets: financial crisis avoidance," Empirica, Springer;Austrian Institute for Economic Research;Austrian Economic Association, vol. 38(1), pages 77-101, February.
- Davies, Geoffrey & Dobler, Marc, 2011. "Bank resolution and safeguarding the creditors left behind," Bank of England Quarterly Bulletin, Bank of England, vol. 51(3), pages 213-223.
- Colm McCarthy, 2009. "Fiscal adjustment and re-balancing the Irish economy," Open Access publications 10197/1673, School of Economics, University College Dublin.
- Attinger, Barbara Jeanne, 2011. "Crisis management and bank resolution: Quo vadis, Europe?," Legal Working Paper Series 13, European Central Bank.
- repec:eme:jfrcpp:v:19:y:2011:i:4:p:323-336 is not listed on IDEAS
- Phoebe White & Tanju Yorulmazer, 2014. "Bank resolution concepts, trade-offs, and changes in practices," Economic Policy Review, Federal Reserve Bank of New York, issue Dec, pages 153-173.
- Alessandro Giustiniani & John Thornton, 2011. "Post-Crisis Financial Reform: Where Do We Stand?," Working Papers 11001, Bangor Business School, Prifysgol Bangor University (Cymru / Wales).
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More about this item
Keywords
Resolution; Banking Act;JEL classification:
- G28 - Financial Economics - - Financial Institutions and Services - - - Government Policy and Regulation
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