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1

Raymond, LaBrosse John, Olivares-Caminal Rodrigo, and Singh Dalvinder 1970-, eds. Financial crisis management and bank resolution. Informa Law, 2009.

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2

Giesen, David. Crisis management at financial institutions. U.S. League of Savings Institutions, 1985.

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3

Rosas, Guillermo. Curbing bailouts: Bank crises and democratic accountability in comparative perspective. University of Michigan Press, 2009.

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4

Fardiansyah, Tedy. Refleksi dan strategi penerapan manajemen risiko perbankan Indonesia. Elex Media Komputindo, 2006.

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5

Stilpon, Nestor, ed. Bank boards and the financial crisis: A corporate governance study of the 25 largest European banks. Nestor Advisors, 2009.

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6

Rosas, Guillermo. Curbing bailouts: Bank crises and democratic accountability in comparative perspective. University of Michigan Press, 2009.

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7

Lüthy, Martin. Unternehmenskrisen und Restrukturierungen: Bank und Kreditnehmer im Spannungsfeld existentieller Unternehmenskrisen. P. Haupt, 1988.

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8

Nakano, Mitsuhiko. Financial Crisis and Bank Management in Japan (1997 to 2016). Palgrave Macmillan UK, 2016. http://dx.doi.org/10.1057/978-1-137-54118-5.

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9

Saunders, Anthony. Credit risk management in and out of the financial crisis: New approaches to value at risk and other paradigms. 3rd ed. Wiley, 2010.

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10

Office, General Accounting. Financial crisis management: Four financial crises in the 1980s. The Office, 1997.

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11

Agénor, Pierre-Richard. Financial sector inefficiencies and coordination failures: Implication for crisis management. National Bureau of Economic Research, 1999.

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12

Office, General Accounting. Financial crisis management: Four financial crises in the 1980s : staff study. The Office, 1997.

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13

Simon, Gleeson, and Guynn Randall. Bank Resolution and Crisis Management. Oxford University Press, 2016. http://dx.doi.org/10.1093/law/9780199698011.001.0001.

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The 2008 global financial crisis ushered in the biggest explosion in new bank regulation around the world since the Great Depression. Governments and regulators have sought to put measures in place to prevent the failure of banks, but have acknowledged the need for measures to address what happens when banks fail or are threatened with failure. This book deals with the measures which European, US, and international law and policy-makers have sought to put in place to manage failure of financial institutions. Measures such as ‘bail-out’ (protecting private shareholders and creditors against los
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14

LaBrosse, John Raymond, Rodrigo Olivares-Caminal, and Dalvinder Singh. Financial Crisis Management and Bank Resolution. Edited by John Raymond LaBrosse, Rodrigo Olivares-Caminal, and Dalvinder Singh. Informa Law from Routledge, 2020. http://dx.doi.org/10.4324/9781003122876.

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15

Singh, Dalvinder, Rodrigo Olivares-Caminal, and John Raymond LaBrosse. Financial Crisis Management and Bank Resolution. Informa Law, 2020.

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16

Singh, Dalvinder, Rodrigo Olivares-Caminal, and John Raymond LaBrosse. Financial Crisis Management and Bank Resolution. Informa Law, 2020.

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17

Bodellini, Marco, John Linarelli, and Teresa Rodríguez de las Heras Ballell. International Bank Crisis Management: A Transatlantic Perspective. Bloomsbury Publishing Plc, 2022.

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18

Gleeson, Simon, and Randall Guynn. Bank Resolution and Crisis Management: Law and Practice. Oxford University Press, 2016.

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19

Hoelscher, David S. Bank Restructuring and Resolution. Palgrave Macmillan, 2016.

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20

Hoelscher, David S. Bank Restructuring and Resolution. Palgrave Macmillan, 2006.

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21

Bank restructuring and resolution. Palgrave Macmillan, 2006.

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22

Staff, International Monetary Fund. United Kingdom: Crisis Management and Bank Resolution Technical Note. International Monetary Fund, 2011.

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23

Staff, International Monetary Fund. United Kingdom: Crisis Management and Bank Resolution Technical Note. International Monetary Fund, 2011.

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24

Fund, International Monetary. United Kingdom: Crisis Management and Bank Resolution Technical Note. International Monetary Fund, 2011.

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25

Nakano, Mitsuhiko. Financial Crisis and Bank Management in Japan: Building a Stable Banking System. Palgrave Macmillan, 2017.

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26

Nakano, Mitsuhiko. Financial Crisis and Bank Management in Japan: Building a Stable Banking System. Palgrave Macmillan, 2016.

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27

Tian, Weidong. Commercial Banking Risk Management: Regulation in the Wake of the Financial Crisis. Palgrave Macmillan, 2019.

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28

Tian, Weidong. Commercial Banking Risk Management: Regulation in the Wake of the Financial Crisis. Palgrave Macmillan, 2016.

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29

Morahan, Aideen, and Christian B. Mulder. Survey of Reserve Managers: Lessons from the Crisis. International Monetary Fund, 2013.

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30

Morahan, Aideen, and Christian B. Mulder. Survey of Reserve Managers: Lessons from the Crisis. International Monetary Fund, 2013.

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31

Morahan, Aideen, and Christian B. Mulder. Survey of Reserve Managers: Lessons from the Crisis. International Monetary Fund, 2013.

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32

Allen, Linda, and Saunders Anthony. Credit Risk Management in and Out of the Financial Crisis. Wiley & Sons, Incorporated, John, 2010.

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33

Pihlman, Jukka, and Han Van Der Hoorn. Procyclicality in Central Bank Reserve Management: Evidence from the Crisis. International Monetary Fund, 2010.

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34

Pihlman, Jukka, and Han Van Der Hoorn. Procyclicality in Central Bank Reserve Management: Evidence from the Crisis. International Monetary Fund, 2010.

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35

International Monetary Fund. European Dept. Belgium: Technical Note on Crisis Management and Bank Resolution Framework. International Monetary Fund, 2013.

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36

Pihlman, Jukka, and Han Van Der Hoorn. Procyclicality in Central Bank Reserve Management: Evidence from the Crisis. International Monetary Fund, 2010.

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37

European I Dept Staff International Monetary Fund. Belgium: Technical Note on Crisis Management and Bank Resolution Framework. International Monetary Fund, 2013.

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38

European II Dept Staff International Monetary Fund. Belgium: Technical Note on Crisis Management and Bank Resolution Framework. International Monetary Fund, 2013.

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39

Iorgova, Silvia, and Chase P. Ross. Investor Information and Bank Instability During the Euro Crisis. International Monetary Fund, 2021.

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40

Iorgova, Silvia, and Chase P. Ross. Investor Information and Bank Instability During the Euro Crisis. International Monetary Fund, 2021.

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41

Iorgova, Silvia, and Chase P. Ross. Investor Information and Bank Instability During the Euro Crisis. International Monetary Fund, 2021.

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42

Reforms and Innovations in Bank Management. 2004, 2004.

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43

International Monetary Fund. Monetary and Capital Markets Department. Germany: Financial Sector Assessment Program-Crisis Preparedness, Bank Resolution and Crisis Management Frameworks-Technical Notes. International Monetary Fund, 2016.

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44

International Monetary Fund. Monetary and Capital Markets Department. Germany: Financial Sector Assessment Program-Crisis Preparedness, Bank Resolution and Crisis Management Frameworks-Technical Notes. International Monetary Fund, 2016.

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45

International Monetary Fund. Monetary and Capital Markets Department. Germany: Financial Sector Assessment Program-Crisis Preparedness, Bank Resolution and Crisis Management Frameworks-Technical Notes. International Monetary Fund, 2016.

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46

Staff, International Monetary Fund. Spain: Safety Net, Bank Resolution, and Crisis Management Framework - Technical Note. International Monetary Fund, 2012.

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47

Fund, International Monetary. Spain: Safety Net, Bank Resolution, and Crisis Management Framework - Technical Note. International Monetary Fund, 2012.

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48

International Monetary Fund. Monetary and Capital Markets Department. Mauritius: Technical Assistance Report-Strengthening Bank Resolution and Crisis Management Framework. International Monetary Fund, 2018.

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49

Staff, International Monetary Fund. Czech Republic: Technical Note on Crisis Management and Bank Resolution Framework. International Monetary Fund, 2012.

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50

Staff, International Monetary Fund. Spain: Safety Net, Bank Resolution, and Crisis Management Framework - Technical Note. International Monetary Fund, 2012.

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