The global financial crisis, the EMU sovereign debt crisis and international financial regulation: lessons from a systematic literature review
Identifikátory výsledku
Kód výsledku v IS VaVaI
<a href="https://www.isvavai.cz/riv?ss=detail&h=RIV%2F62156489%3A43110%2F21%3A43918827" target="_blank" >RIV/62156489:43110/21:43918827 - isvavai.cz</a>
Výsledek na webu
<a href="https://doi.org/10.1016/j.irle.2020.105945" target="_blank" >https://doi.org/10.1016/j.irle.2020.105945</a>
DOI - Digital Object Identifier
<a href="http://dx.doi.org/10.1016/j.irle.2020.105945" target="_blank" >10.1016/j.irle.2020.105945</a>
Alternativní jazyky
Jazyk výsledku
angličtina
Název v původním jazyce
The global financial crisis, the EMU sovereign debt crisis and international financial regulation: lessons from a systematic literature review
Popis výsledku v původním jazyce
To ensure the safety and soundness of the global financial system as well as individual financial institutions and to reduce systemic risk, numerous policy measures and regulatory reforms have been brought forward as a reaction to the Global Financial Crisis and the European Sovereign Debt Crisis. Simultaneously, numerous academic works have critically reviewed these developments. Therefore, based on a dataset of 455 papers, this article intends to structure the multitude of publications and provide a comprehensive overview of post-crisis regulatory research publications. Studies can be roughly divided into three overarching clusters: publications identifying causes of the crisis, articles focusing on policy and reform reactions, and literature investigating whether these reforms fit their purpose. A holistic and systematic review allows us to extract relevant recommendations and areas of action to be taken to prevent such a crisis in the future.
Název v anglickém jazyce
The global financial crisis, the EMU sovereign debt crisis and international financial regulation: lessons from a systematic literature review
Popis výsledku anglicky
To ensure the safety and soundness of the global financial system as well as individual financial institutions and to reduce systemic risk, numerous policy measures and regulatory reforms have been brought forward as a reaction to the Global Financial Crisis and the European Sovereign Debt Crisis. Simultaneously, numerous academic works have critically reviewed these developments. Therefore, based on a dataset of 455 papers, this article intends to structure the multitude of publications and provide a comprehensive overview of post-crisis regulatory research publications. Studies can be roughly divided into three overarching clusters: publications identifying causes of the crisis, articles focusing on policy and reform reactions, and literature investigating whether these reforms fit their purpose. A holistic and systematic review allows us to extract relevant recommendations and areas of action to be taken to prevent such a crisis in the future.
Klasifikace
Druh
J<sub>imp</sub> - Článek v periodiku v databázi Web of Science
CEP obor
—
OECD FORD obor
50206 - Finance
Návaznosti výsledku
Projekt
—
Návaznosti
I - Institucionalni podpora na dlouhodoby koncepcni rozvoj vyzkumne organizace
Ostatní
Rok uplatnění
2021
Kód důvěrnosti údajů
S - Úplné a pravdivé údaje o projektu nepodléhají ochraně podle zvláštních právních předpisů
Údaje specifické pro druh výsledku
Název periodika
International Review of Law and Economics
ISSN
0144-8188
e-ISSN
—
Svazek periodika
65
Číslo periodika v rámci svazku
March
Stát vydavatele periodika
US - Spojené státy americké
Počet stran výsledku
26
Strana od-do
105945
Kód UT WoS článku
000761628200004
EID výsledku v databázi Scopus
2-s2.0-85096685011