{"title":"Macroprudential Policy","authors":"Erdem Başçí","doi":"10.4135/9789353287696.n4","DOIUrl":"https://doi.org/10.4135/9789353287696.n4","url":null,"abstract":"..................................................................................................................................................... ix Macroprudential regulation: history, theory and policy Turalay Kenç .............................................................................................................................................. 1 Session 1: \"Macroprudential policy and its interactions with other policies\" Credit cycles and macroprudential policy framework in emerging countries Salih Fendoğlu and Mustafa Kılınç ................................................................................................ 17 Monetary and macroprudential policies – exploring interactions Erlend Nier and Heedon Kang ........................................................................................................ 27 Session 2: \"Spillover effects of macroprudential policy tools\" Macroprudential policies and the Lucas Critique Bálint Horváth and Wolf Wagner .................................................................................................... 39 Cross-border spillovers from macroprudential policy in the euro area Luca Nocciola and Dawid Żochowski ........................................................................................... 45 Banking de-globalisation: a consequence of monetary and regulatory policies? Kristin Forbes, Dennis Reinhardt and Tomasz Wieladek ....................................................... 49 Session 3: \"External shocks and macroprudential policy\" External shocks, the exchange rate and macroprudential policy Philip Turner ............................................................................................................................................ 57 Capital Flows, credit cycles and macroprudential policy Yusuf Soner Baskaya, Julian di Giovanni, Sebnem Kalemli-Ozcan, Jose-Luis Peydro and Mehmet Fatih Ulu ....................................................................................................................... 63 Macroprudential policies in a commodity exporting economy Andrés González, Franz Hamann and Diego Rodríguez ........................................................ 69 Session 4: \"Country experiences with macroprudential policies (I)\" Managing systemic risks in the Croatian economy Boris Vujčić and Mirna Dumičić. ...................................................................................................... 75 Macroprudential policy regulation: some continuing challenges Manuel Ramos-Francia and Santiago García-Verdú ............................................................... 85","PeriodicalId":285754,"journal":{"name":"Systemic Risk and Macroprudential Regulations: Global Financial Crisis and Thereafter","volume":"4 1","pages":"0"},"PeriodicalIF":0.0,"publicationDate":"1900-01-01","publicationTypes":"Journal Article","fieldsOfStudy":null,"isOpenAccess":false,"openAccessPdf":"","citationCount":null,"resultStr":null,"platform":"Semanticscholar","paperid":"114886482","PeriodicalName":null,"FirstCategoryId":null,"ListUrlMain":null,"RegionNum":0,"RegionCategory":"","ArticlePicture":[],"TitleCN":null,"AbstractTextCN":null,"PMCID":"","EPubDate":null,"PubModel":null,"JCR":null,"JCRName":null,"Score":null,"Total":0}
{"title":"New Approaches to International Policy Coordination","authors":"","doi":"10.4135/9789353287696.n10","DOIUrl":"https://doi.org/10.4135/9789353287696.n10","url":null,"abstract":"","PeriodicalId":285754,"journal":{"name":"Systemic Risk and Macroprudential Regulations: Global Financial Crisis and Thereafter","volume":"34 1","pages":"0"},"PeriodicalIF":0.0,"publicationDate":"1900-01-01","publicationTypes":"Journal Article","fieldsOfStudy":null,"isOpenAccess":false,"openAccessPdf":"","citationCount":null,"resultStr":null,"platform":"Semanticscholar","paperid":"131060994","PeriodicalName":null,"FirstCategoryId":null,"ListUrlMain":null,"RegionNum":0,"RegionCategory":"","ArticlePicture":[],"TitleCN":null,"AbstractTextCN":null,"PMCID":"","EPubDate":null,"PubModel":null,"JCR":null,"JCRName":null,"Score":null,"Total":0}
{"title":"Tools for Macroprudential Policy","authors":"","doi":"10.4135/9789353287696.n7","DOIUrl":"https://doi.org/10.4135/9789353287696.n7","url":null,"abstract":"","PeriodicalId":285754,"journal":{"name":"Systemic Risk and Macroprudential Regulations: Global Financial Crisis and Thereafter","volume":"124 1","pages":"0"},"PeriodicalIF":0.0,"publicationDate":"1900-01-01","publicationTypes":"Journal Article","fieldsOfStudy":null,"isOpenAccess":false,"openAccessPdf":"","citationCount":null,"resultStr":null,"platform":"Semanticscholar","paperid":"116464307","PeriodicalName":null,"FirstCategoryId":null,"ListUrlMain":null,"RegionNum":0,"RegionCategory":"","ArticlePicture":[],"TitleCN":null,"AbstractTextCN":null,"PMCID":"","EPubDate":null,"PubModel":null,"JCR":null,"JCRName":null,"Score":null,"Total":0}
{"title":"Stress-Testing Programme","authors":"","doi":"10.4135/9789353287696.n6","DOIUrl":"https://doi.org/10.4135/9789353287696.n6","url":null,"abstract":"","PeriodicalId":285754,"journal":{"name":"Systemic Risk and Macroprudential Regulations: Global Financial Crisis and Thereafter","volume":"48 1","pages":"0"},"PeriodicalIF":0.0,"publicationDate":"1900-01-01","publicationTypes":"Journal Article","fieldsOfStudy":null,"isOpenAccess":false,"openAccessPdf":"","citationCount":null,"resultStr":null,"platform":"Semanticscholar","paperid":"133949183","PeriodicalName":null,"FirstCategoryId":null,"ListUrlMain":null,"RegionNum":0,"RegionCategory":"","ArticlePicture":[],"TitleCN":null,"AbstractTextCN":null,"PMCID":"","EPubDate":null,"PubModel":null,"JCR":null,"JCRName":null,"Score":null,"Total":0}
{"title":"Early Warning Systems","authors":"F.A.Z. Weekly","doi":"10.4135/9789353287696.n5","DOIUrl":"https://doi.org/10.4135/9789353287696.n5","url":null,"abstract":"To the extent early warning models accurately identify potential problem institutions before any problems actually develop, regulators can target on-site examination efforts more effectively and take steps to minimize the drain on the deposit insurance system should a targeted institution become insolvent. This Letter discusses the foundation of typical early warning models, their effectiveness, and some possible improvements.","PeriodicalId":285754,"journal":{"name":"Systemic Risk and Macroprudential Regulations: Global Financial Crisis and Thereafter","volume":"14 1","pages":"0"},"PeriodicalIF":0.0,"publicationDate":"1900-01-01","publicationTypes":"Journal Article","fieldsOfStudy":null,"isOpenAccess":false,"openAccessPdf":"","citationCount":null,"resultStr":null,"platform":"Semanticscholar","paperid":"133811325","PeriodicalName":null,"FirstCategoryId":null,"ListUrlMain":null,"RegionNum":0,"RegionCategory":"","ArticlePicture":[],"TitleCN":null,"AbstractTextCN":null,"PMCID":"","EPubDate":null,"PubModel":null,"JCR":null,"JCRName":null,"Score":null,"Total":0}