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The global financial crisis, the EMU sovereign debt crisis and international financial regulation: lessons from a systematic literature review
International Review of Law and Economics ( IF 1.216 ) Pub Date : 2020-10-03 , DOI: 10.1016/j.irle.2020.105945
Samira Meier , Miguel Rodriguez Gonzalez , Frederik Kunze

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 prevent such a crisis in the future.



中文翻译:

全球金融危机,欧洲货币联盟的主权债务危机和国际金融监管:来自系统文献回顾的教训

为了确保全球金融体系以及各个金融机构的安全和健全并降低系统风险,针对全球金融危机和欧洲主权债务危机,人们提出了许多政策措施和监管改革。同时,许多学术著作对这些发展进行了严格的审查。因此,本文基于455篇论文的数据集,旨在构建大量出版物,并提供危机后监管研究出版物的全面概述。研究大体可分为三个主要方面:确定危机根源的出版物,侧重于政策和改革反应的文章以及调查这些改革是否符合其目的的文献。

更新日期:2020-10-03
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