WorldCat Identities

Kaufman, George G.

Overview
Works: 213 works in 788 publications in 2 languages and 21,895 library holdings
Genres: Conference papers and proceedings  Case studies  History 
Roles: Author, Editor, Other, Honoree, Contributor, ed
Publication Timeline
.
Most widely held works about George G Kaufman
 
Most widely held works by George G Kaufman
Asset price bubbles : implications for monetary, regulatory, and international policies by George G Kaufman( )

26 editions published between 2001 and 2007 in English and held by 1,859 WorldCat member libraries worldwide

In both the industrialized and developing worlds, a distinctive feature of the last two decades has been prolonged buildups and sharp collapses in asset markets such as stock, housing, and exchange markets. The volatility has sparked intense debate in academic and policy circles over the appropriate monetary and regulatory response to dramatic market shifts.This book examines asset price bubbles to further our understanding of the causes and implications of financial instability, focusing on the potential of central banks and regulatory agencies to prevent it. -- Amazon.com
International financial instability : global banking and national regulation by Douglas Darrell Evanoff( )

15 editions published in 2007 in English and held by 1,653 WorldCat member libraries worldwide

Proceedings of a conference held at the Federal Reserve Bank of Chicago, Oct. 5-6, 2006
Cross-border banking : regulatory challenges( )

14 editions published in 2006 in English and held by 1,530 WorldCat member libraries worldwide

Cross-border banking, while having the potential for a more efficient financial sector, also creates potential challenges for bank supervisors and regulators. This volume discusses topics that include: the landscape of cross-border bank activity, the resulting competitive implications, emerging challenges for prudential regulation, and more. Cross-border banking, while having the potential for a more efficient financial sector, also creates potential challenges for bank supervisors and regulators. It requires cooperation by regulatory authorities across jurisdictions and a clear delineation of authority and responsibility. That delineation is typically not present and regulatory authorities often have significantly different incentives to respond when cross-border-active banks encounter difficulties. Most of these issues have only begun to be seriously evaluated. This volume, one of the first attempts to address these issues, brings together experts and regulators from different countries. The wide range of topics discussed include: the current landscape of cross-border bank activity, the resulting competitive implications, emerging challenges for prudential regulation, safety net concerns, failure resolution issues, and the potential future evolution of international banking
Systemic financial crises : resolving large bank insolvencies by Douglas Darrell Evanoff( )

14 editions published in 2005 in English and held by 1,528 WorldCat member libraries worldwide

Bank failures, like illness and taxes, are almost a certainty at some time in the future. What is less certain is their cost to and adverse implications for macroeconomies. Past failures have frequently been resolved at very high cost to society. However, the cost could be reduced through having a well-developed, credible and widely publicized plan ready to put into action by policymakers. If no such plan is ready when a large bank approaches insolvency, political pressures are likely to influence the response of regulators. Minimizing immediate, short-run costs are likely to outweigh minimizing further out, longer-run and longer-lasting costs, even if these delayed costs promise to be substantially greater. Stated differently, today will win out over tomorrow and politics will trump economics. How best to prevent such unfavorable outcomes is the major theme of this volume. The articles presented review past insolvency resolutions, draw lessons from these resolutions, discuss impediments to efficient resolutions - including cross-country, cross-regulator, and institutional challenges - and recommend how to move forward
The first credit market turmoil of the 21st century by International Banking and Finance Conference( )

11 editions published in 2009 in English and held by 1,304 WorldCat member libraries worldwide

"Since the summer of 2007, credit markets in almost all industrial countries have been in substantial turmoil and this has become the focus of intense policy debates. The papers in this volume are contributed by the world's leading financial experts and constitute a thorough examination of the first credit market turmoil of the 21st Century. They provide an overview of the main causes, transmission mechanisms and economic implications of what by now has become a major systemic financial crisis. They assess the most important policy considerations and conclude about how to stabilize financial systems, attenuate repercussions on the real economy and shape future regulatory structures. The analyses, conclusions, and recommendations can be expected to influence both public and private policies to mitigate, if not prevent, such crises in the future."--Book cover
Globalization and systemic risk by Douglas Darrell Evanoff( )

9 editions published in 2009 in English and held by 1,259 WorldCat member libraries worldwide

"The impact of globalization of financial markets is a highly debated topic, particularly in recent months when the issue of globalization and contagion of financial distress has become a focus of intense policy debate. The papers in this volume provide an up-to-date overview of the key issues in this debate. While most of the contributions were prepared after the initial outbreak of the current global turmoil and financial crisis, they identify the relative strengths of the risk diversification and risk transmission processes and examine the empirical evidence to date. The book considers the relative roles of banks, nonbank financial institutions and capital markets in both risk diversification and risk transmission. It then evaluates the current status of crisis resolution in a global context, and speculates where to go from here in terms of understanding, resolution, prevention and public policy."--Publisher description
The role of central banks in financial stability : how has it changed? by Douglas Darrell Evanoff( )

10 editions published between 2013 and 2014 in English and held by 1,121 WorldCat member libraries worldwide

"The participants at the Fourteenth Annual Federal Reserve Bank of Chicago International Banking Conference, co-sponsored with the European Central Bank in Chicago on November 10-11, 2011, reevaluated the role of central banks in financial stability ... This volume contains the paper and panel presentations at the conference, including the keynote addresses by major policymakers and practitioners in the United States and abroad."--Page ix
The U.S. financial system : money, markets, and institutions by George G Kaufman( Book )

41 editions published between 1978 and 1995 in English and Undetermined and held by 929 WorldCat member libraries worldwide

The international financial crisis : have the rules of finance changed? by Aslı Demirgüç-Kunt( )

15 editions published between 2010 and 2011 in English and held by 816 WorldCat member libraries worldwide

The recent global financial crisis has caused massive upheavals worldwide. The papers in this volume analyse whether financial principles seem to have shifted in recent years, and what this may mean for international financial markets and regulation
The first great financial crisis of the 21st century : a retrospective by James R Barth( )

12 editions published between 2015 and 2016 in English and held by 800 WorldCat member libraries worldwide

"Although there have been numerous studies of the causes and consequences of the Great Financial Crisis of 2007-2010 in the US and abroad, many of these were undertaken only for a small number of countries and before the financial and economic effects were fully realized and before various governmental policy responses were decided upon and actually implemented. This book aims to fill these voids by providing a more thorough assessment now that the worst events and the regulatory reforms are sufficiently behind us and much more information about these developments is available. It reviews and analyzes the causes and consequences of and the regulatory responses to the Great Financial Crisis, particularly from a public policy viewpoint. In the process, it explores such intriguing questions as: What caused the crisis? How did the crisis differ across countries? What is the outlook for another crisis, and when? This is a must read for those who are trying to find answers to these questions."
New perspectives on asset price bubbles : theory, evidence and policy by Douglas Darrell Evanoff( )

14 editions published in 2012 in English and held by 750 WorldCat member libraries worldwide

"This volume critically re-examines the profession's understanding of asset bubbles in light of the global financial crisis of 2007-09. It is well known that bubbles have occurred in the past, with the October 1929 crash as the most demonstrative example. However, the remarkably well-behaved performance of the US economy from 1945 to 2006, and, in particular during the Great Moderation period of 1984 to 2006, assured the economics profession and monetary policymakers that asset bubbles could be effectively managed with little or no real economic impact. The recent financial crisis has now triggered a debate about the emergence of a sequence of repeated bubbles in the Nasdaq market, housing market, credit market, and commodity markets. The realities of the crisis have intensified theoretical modeling, empirical methodologies, and debate on policy issues surrounding asset price bubbles and their potentially adverse economic impact if poorly managed. Taking a novel approach, the editors of this book present five classic papers that represent accepted thinking about asset bubbles prior to the financial crisis. They also include original papers challenging orthodox thinking and presenting new insights. A summary essay highlights the lessons learned and experiences gained since the crisis."--Publisher's website
Money, the financial system, and the economy by George G Kaufman( Book )

37 editions published between 1973 and 1981 in 3 languages and held by 670 WorldCat member libraries worldwide

Deregulating financial services : public policy in flux( Book )

10 editions published in 1986 in English and held by 529 WorldCat member libraries worldwide

Banking structures in major countries by George G Kaufman( Book )

20 editions published between 1991 and 2013 in English and Undetermined and held by 486 WorldCat member libraries worldwide

The ongoing globalization of financial markets has increased the import ance to users of financial services, policy-makers and financial analysts of understanding the structure and operation of banking systems in other countries as well as that in their own country. This volume contributes to such an understanding. The structure and operation of the banking system are described for 10 important countries, plus the European Economic Community, under one cover. The contributing authors are knowledgable and widely respected experts. The author, or at least one of the coauthors, of each chapter is a resident of the country described. Each chapter follows a broadly similar outline, although the attention devoted to any particular area varies substantially according to authors' perceptions of its relative importance in the particular country. The chapters spotlight the similarities and differences among the structures. The volume should serve as both a handy and authoritative reference guide for practitioners, regulators and students of international banking. An early benefit of the book was an international conference held in Chicago in the fall of 1989 on the world integration of financial markets. A number of the authors of the chapters presented brief versions of their papers. The conference was sponsored jointly by the Federal Reserve Bank of Chicago and the MidAmerica Institute. The audience was primarily senior officers and regulators of financial institutions in the midwest. The conference generated considerable interest in both the subject matter and the contents of this book
Monetary economics: readings on current issues by William E Gibson( Book )

14 editions published between 1971 and 1975 in English and held by 485 WorldCat member libraries worldwide

The Asian financial crisis : origins, implications, and solutions by W. Curt Hunter( Book )

13 editions published in 1999 in English and held by 485 WorldCat member libraries worldwide

"In the late 1990s Korea, Thailand, Indonesia and Malaysia experienced a series of major financial crises evinced by widespread bank insolvencies and currency depreciations, as well as sharp declines in gross domestic production."--Jacket
The property tax revolt : the case of Proposition 13( Book )

5 editions published in 1981 in English and held by 437 WorldCat member libraries worldwide

Financial institutions and markets : the financial crisis--an early retrospective by George G Kaufman( Book )

17 editions published between 2010 and 2012 in English and held by 405 WorldCat member libraries worldwide

This work is a collection of research papers that contribute to the understanding of ongoing developments in financial institutions and markets both in the United States and globally
Financial institutions and markets : current issues in financial markets by George G Kaufman( )

22 editions published between 2008 and 2009 in English and held by 389 WorldCat member libraries worldwide

"This edited collection contains papers that contribute to the understanding of ongoing developments in financial institutions and markets both in the United States and globally. Including chapters on industrial loan companies, transparency, inflation, and insider trading, this volume addresses and analyzes the key issues currently affecting those markets."--Jacket
The global financial crisis a retrospective look by George S Kaufman( )

3 editions published in 2015 in English and held by 339 WorldCat member libraries worldwide

The four articles in this special issue of the Journal of Financial Economic Policy were presented at the tenth biannual joint session of the six worldwide Shadow Financial Regulatory Committees (Asian, Australia-New Zealand, European, Japanese, Latin American, and the United States) in Tokyo on October 26-28, 2013 and again at the annual meeting of the Western Economic Association in Denver, Colorado on June 28, 2014. The papers focus on how public policy in the regions represented by each of the committees responded to the 2007-2010 financial crisis. Because the crisis affected regions diffe
 
moreShow More Titles
fewerShow Fewer Titles
Audience Level
0
Audience Level
1
  Kids General Special  
Audience level: 0.17 (from 0.01 for Globalizat ... to 0.61 for Financial ...)

Cross-border banking : regulatory challenges
Covers
International financial instability : global banking and national regulationCross-border banking : regulatory challengesSystemic financial crises : resolving large bank insolvenciesThe first credit market turmoil of the 21st centuryGlobalization and systemic riskThe U.S. financial system : money, markets, and institutionsThe international financial crisis : have the rules of finance changed?Banking structures in major countries
Alternative Names
George Kaufman Amerikaans econoom

George Kaufman économiste américain

George Kaufman US-amerikanischer Wirtschaftswissenschaftler und Hochschullehrer

Kaufman, G. G. 1933-

Kaufman, Georg 1933-

Kaufman, Georg G. 1933-

Kaufman, George G.

Kaufman, George Gert 1933-

Джордж Кауфман

Languages
English (313)

Spanish (6)