This book examines the post-crisis international regulation of derivatives by bringing together the international relations literature on regime complexity and the international political economy literature on financial regulation.
This book examines the post-crisis international regulation of derivatives by bringing together the international relations literature on regime complexity and the international political economy literature on financial regulation.
Lucia Quaglia is Professor of Political Science at the University of Bologna. Her publications include The UK and Multi-level Financial Regulation (with Scott James, OUP, 2020), The Political Economy of Banking Union (with David Howarth, OUP, 2016), and The European Union and Global Financial Regulation (OUP, 2014).
Inhaltsangabe
* 1: Introduction * 2: State of the Art and Research Design * 3: Context and Empirical Patterns * 4: International Standards for Derivatives Trading and Clearing * 5: International Standards for Reporting Derivatives Trades * 6: International Standards for CCPs * 7: International Standards for Bank Capital Exposures to CCPs and Derivatives * 8: International Margin Standards for Non-Centrally Cleared Derivatives
* 1: Introduction * 2: State of the Art and Research Design * 3: Context and Empirical Patterns * 4: International Standards for Derivatives Trading and Clearing * 5: International Standards for Reporting Derivatives Trades * 6: International Standards for CCPs * 7: International Standards for Bank Capital Exposures to CCPs and Derivatives * 8: International Margin Standards for Non-Centrally Cleared Derivatives
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