Bank Runs and Systemic Risk
(2010)

Nonfiction

eBook

Provider: hoopla

Details

PUBLISHED
[United States] : Wiley, 2010
Made available through hoopla
DESCRIPTION

1 online resource

ISBN/ISSN
9780470944790 MWT18092073, 047094479X 18092073
LANGUAGE
English
NOTES

This chapter examines performance and stability issues associated with bank operations. It first shows how bank portfolio structures pose a trade-off for both bank and system stability. It next considers policies for reducing the likelihood of speculative bank runs, examining the roles of lender of last resort, deposit insurance, and information production. Finally, the chapter considers how system risks differ from the risk of individual bank operations, and sketches policies for dealing with them

Mode of access: World Wide Web

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