Küresel Kriz ve Finansal Aracılarda Risk Yönetimi: Beyaz Sayfa Mı Reportar como inadecuado




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Abstract

AbstractOne of the impacts of financial liberalisation-deregulation to the risk management and regulation mechanisms is self regulation. In the context of self regulation, it is expected that financial intermediaries may internally develop risk management rules, define capital level based on economic capital instead of required capital and develop corrective measures to firm wide risk managament problems, before regulators. In this article, the authors analyse whether self regulation approach is succesfull. In the light of literature and lessons of firm-system wide financial failures, we also analyze the risk discipline methods of self and official disciplines and their degree of efficieny. In this framework, we first conclude, however it may not provide optimal solutions to the risk management problems of financial intermediaries, more efficient risk management standards should develop. Secondly, based on observations of various firm-system wide failures in financial intermediaries, the authors believe more self regulation may increase risks of financial failures and systemic crisis.



Item Type: MPRA Paper -

Original Title: Küresel Kriz ve Finansal Aracılarda Risk Yönetimi: Beyaz Sayfa Mı?-

English Title: Global Financial Crisis and Risk Management in Financial Intermediaries: Is It White Page?-

Language: Turkish-

Keywords: Risk, risk management, finansal intermediares, bankruptcy, financial failure-

Subjects: G - Financial Economics > G3 - Corporate Finance and Governance > G32 - Financing Policy ; Financial Risk and Risk Management ; Capital and Ownership Structure ; Value of Firms ; GoodwillG - Financial Economics > G2 - Financial Institutions and Services > G21 - Banks ; Depository Institutions ; Micro Finance Institutions ; MortgagesG - Financial Economics > G0 - General > G01 - Financial Crises-





Autor: Coskun, Yener

Fuente: https://mpra.ub.uni-muenchen.de/34910/







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