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SA-PMU |
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20210418124158.0 |
| 008 - FIXED-LENGTH DATA ELEMENTS--GENERAL INFORMATION |
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100104s2010 njua b 001 0 eng |
| 010 ## - LIBRARY OF CONGRESS CONTROL NUMBER |
| LC control number |
2009050964 |
| 040 ## - CATALOGING SOURCE |
| Original cataloging agency |
DLC |
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DLC |
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BTCTA |
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| 020 ## - INTERNATIONAL STANDARD BOOK NUMBER |
| International Standard Book Number |
9780470561775 (cloth) |
| 020 ## - INTERNATIONAL STANDARD BOOK NUMBER |
| International Standard Book Number |
0470561777 (cloth) |
| 035 ## - SYSTEM CONTROL NUMBER |
| System control number |
(OCoLC)460061998 |
| 043 ## - GEOGRAPHIC AREA CODE |
| Geographic area code |
n-us--- |
| 050 00 - LIBRARY OF CONGRESS CALL NUMBER |
| Classification number |
HB3722 |
| Item number |
.L476 2010 |
| 082 00 - DEWEY DECIMAL CLASSIFICATION NUMBER |
| Classification number |
330.9 |
| Edition number |
22 |
| 245 00 - TITLE STATEMENT |
| Title |
Lessons from the financial crisis : |
| Remainder of title |
causes, consequences, and our economic future / |
| Statement of responsibility, etc. |
[edited] by Robert W. Kolb. |
| 260 ## - PUBLICATION, DISTRIBUTION, ETC. |
| Place of publication, distribution, etc. |
Hoboken, N.J. : |
| Name of publisher, distributor, etc. |
Wiley, |
| Date of publication, distribution, etc. |
c2010. |
| 300 ## - PHYSICAL DESCRIPTION |
| Extent |
xxv, 667 p. : |
| Other physical details |
ill. ; |
| Dimensions |
26 cm. |
| 490 1# - SERIES STATEMENT |
| Series statement |
The Robert W. Kolb series in finance |
| 504 ## - BIBLIOGRAPHY, ETC. NOTE |
| Bibliography, etc. note |
Includes bibliographical references and index. |
| 505 0# - FORMATTED CONTENTS NOTE |
| Formatted contents note |
Part 1. Overview of the Crisis -- 1. Leverage and liberal democracy / George Bragues -- 2. A property economics explanation of the global financial crisis / Gunnar Heinsohn and Frank Decker -- 3. Of subprimes and sundry symptoms: the political economy of the financial crisis / Ashok Bardhan -- 4. The political economy of the financial crisis of 2008 / Roger D. Congleton -- 5. The global financial crisis of 2008: what went wrong? / Hershey H. Friedman and Linda Weiser Friedman -- 6. The roots of the crisis and how to bring it to a close / James K. Galbraith -- 7. Enron rerun: the credit crisis in three easy pieces / Jonathan C. Lipson -- 8. The global crisis and its origins / Peter L. Swan -- 9. Four paradoxes of the 2008-2009 economic and financial crisis / John E. Marthinsen -- 10. Understanding the subprime financial crisis / Steven L. Schwarcz -- |
| 505 0# - FORMATTED CONTENTS NOTE |
| Formatted contents note |
Part 2. Causes and consequences of the financial crisis -- 11. The origins of the financial crisis / Martin N. Baily, Robert E. Litan, and Matthew S. Johnson -- 12. Ten myths about subprime mortgages / Yuliya Demyanyk -- 13. The financial crisis: how did we get here and where do we go next? new evidence on how the crisis spread among financial institutions / James R. Barth, Tong Li, Lu Wenling, and Glenn H. Yago -- 14. A decade of living dangerously: the causes and consequences of the mortgage, financial, and economic crises / Jon A. Garfinkel and Jarjisu Sa-Aadu -- 15. Making sense of the subprime crisis / Kristopher S. Gerardi, Andreas Lehnert, Shane M. Sherlund, and Paul Willen -- 16. Miraculous financial engineering or legacy assets? / Ivo Pezzuto -- 17. The making and ending of the financial crisis of 2007-2009 / Austin Murphy -- 18. The subprime mortgage problem: causes and likely cure / Ronald D. Utt -- 19. Sequence of asset bubbles and the global financial crisis / Abol Jalilvand and A. G. (Tassos) Malliaris -- |
| 505 0# - FORMATTED CONTENTS NOTE |
| Formatted contents note |
Part 3. Borrowers -- 20. The past, present, and future of subprime mortgages / Shane M. Sherlund -- 21. FHA loans and policy responses to credit availability / Marsha Courchane, Rajeev Darolia, and Peter Zorn -- 22. The single-family mortgage industry in the internet era: technology developments and market structure / Forrest Pafenberg -- 23. Speed kills? mortgage credit boom and the crisis / Giovanni Dell'Ariccia, Deniz Igan, and Luc Laeven -- 24. Subprime mortgages: what we have learned from a new class of homeowners / Todd J. Zywicki and Satya Thallam -- 25. Rating agencies: facilitators of predatory lending in the subprime market / David J. Reiss -- |
| 505 0# - FORMATTED CONTENTS NOTE |
| Formatted contents note |
Part 4. The process of securitization -- 26. A primer on the role of securitization in the credit market crisis of 2007 / John D. Martin -- 27. Incentives in the originate-to-distribute model of mortgage production / Robert W. Kolb -- 28. Did securitization lead to lax screening? evidence from subprime loans / Benjamin J. Keys, Tanmoy Mukherjee, Amit Seru, and Vikrant Vig -- 29. Tumbling tower of Babel: subprime securitization and the credit crisis / Bruce I. Jacobs -- 30. The incentives of mortgage servicers and designing loan modifications to address the mortgage crisis / Larry Cordell, Karen Dynan, Andreas Lehnert, Nellie Liang, and Eileen Mauskopf -- 31. The contribution of structured finance to the financial crisis: an introductory overview / Adrian A.R.J.M. van Rixtel and Sarai Criado -- 32. Problematic practices of credit rating agencies: the neglected risks of mortgage-backed securities / Phil Hosp -- 33. Did asset complexity trigger ratings bias? Vasiliki Skreta and Laura Veldkamp -- 34. The pitfalls of originate-to-distribute in bank lending / Antje Berndt and Anurag Gupta -- |
| 505 0# - FORMATTED CONTENTS NOTE |
| Formatted contents note |
Part 5. Risk management and mismanagement -- 35. Behavioral basis of the financial crisis / J. V. Rizzi -- 36. Risk management failures during the financial crisis / Michel Crouhy -- 37. The outsourcing of financial regulation to risk models / Erik F. Gerding -- 38. The future of risk modeling / Elizabeth Sheedy -- 39. What happened to risk management during the 2008-2009 financial crisis? / Michael McAleer, Juan-Angel Jiménez-Martin, and Teodosio Pérez-Amaral -- 40. Risk management lessons from the global financial crisis for derivative exchanges / Jayanth Varma -- |
| 505 0# - FORMATTED CONTENTS NOTE |
| Formatted contents note |
Part 6. The problem of regulation -- 41. Regulation and financial stability in the age of turbulence / David S. Bieri -- 42. The financial crisis of 2007-2009: missing financial regulation or absentee regulators? / George G. Kaufman and A. G. Malliaris -- 43. The demise of the United Kingdom's northern rock and large U.S. financial institutions: public and policy lessons / Robert A. Eisenbeis and George G. Kaufman -- 44. Why securities regulation failed to prevent the CDO meltdown / Richard E. Mendales -- 45. Curbing optimism in managerial estimates through transparent accounting: the case of securitizations / Stephen Bryan, Steven Lilien, and Bharat Sarath -- 46. Basel II put on trial: what role in the financial crisis? / Francesco Cannata and Mario Quagliariello -- 47. Credit rating organizations, their role in the current calamity, and future prospects for reform / Thomas J. Fitzpatrick and Chris Sagers -- 48. Global regulation for global markets? / Michael W. Taylor and Douglas W. Arner -- 49. Financial regulation, behavioral finance, and the global financial crisis: in search of a new regulatory model / Emilios Avgouleas -- Part 7. Institutional Failures -- 50. Why financial conglomerates are at the center of the financial crisis / Arthur E. Wilmarth -- 51. Corporate governance and the financial crisis: a case study from the S&P 500 / Brian R. Cheffins -- 52. Secondary-management conflicts / Steven L. Schwarcz -- 53. The financial crisis and the systemic failure of academic economics / David Colander, Michael Goldberg, Armin Haas, Alan Kirman, Katarina Juselius, Brigitte Sloth, and Thomas Lux -- 54. Fannie Mae and Freddie Mac: privatizing profit and socializing loss / David Reiss -- 55. Disclosure's failure in the subprime mortgage crisis / Steven L. Schwarcz -- |
| 505 0# - FORMATTED CONTENTS NOTE |
| Formatted contents note |
Part 8. The federal reserve, monetary policy, and the financial crisis -- 56. Federal reserve policy and the housing bubble / Lawrence H. White -- 57. The greenspan and bernanke federal reserve roles in the financial crisis / John Ryan -- 58. The risk management approach to monetary policy: lessons from the financial crisis of 2007-2009 / Marc D. Hayford and A. G. Malliaris -- 59. Reawakening the inflationary monster: U.S. monetary policy and the federal reserve / Kevin Dowd and Martin Hutchinson -- 60. The transformation of the federal reserve system balance sheet and its implications / Peter Stella -- Part 9. Implications of the crisis for our economic systems -- 61. Systemic risk and markets / Steven L. Schwarcz -- 62. The transmission of liquidity shocks during the crisis: ongoing research into the transmission of liquidity shock suggests the emergence of a range of new channels during the credit crisis / Nathaniel Frank, Brenda González-Hermosillo, and Heiko Hesse -- 63. Credit contagion from counterparty risk / Philippe Jorion and Gaiyan Zhang -- Part 10. International dimensions of the financial crisis -- 64. Only in America? when housing boom turns to bust / Luci Ellis -- 65. The equity risk premium amid a global financial crisis / John R. Graham and Campbell R. Harvey -- 66. Australia's experience in the global financial crisis / Christine Brown and Kevin Davis -- 67. Collapse of a financial system: an Icelandic saga / Tryggvi Thor Herbertsson -- 68. Iceland's banking sector and the political economy of crisis / James A. H. S. Hine and Ian Ashman -- 69. The subprime crisis: implications for emerging markets / William B. Gwinner and Anthony B. Sanders -- |
| 505 0# - FORMATTED CONTENTS NOTE |
| Formatted contents note |
Part 11. Financial solutions and our economic future -- 70. The long-term cost of the financial crisis / Murillo Campello, John R. Graham, and Campbell R. Harvey -- 71. Coping with the financial crisis: illiquidity and the role of government intervention / Bastian Breitenfellner and Niklas Wagner -- 72. Fiscal policy for the crisis / Antonio Spilimbergo, Steven Symansky, Olivier Blanchard, and Carlo Cottarelli -- 73. The future of securitization / Steven L. Schwarcz -- 74. Modification of mortgages in bankruptcy / Adam J. Levitin -- 75. The shadow bankruptcy system / Jonathan C. Lipson -- 76. Reregulating Fannie Mae and Freddie Mac / Dwight M. Jaffee -- 77. Would greater regulation of hedge funds reduce systemic risk? / Michael R. King and Philipp Maier -- 78. Regulating credit default swaps / Houman B. Shadab -- |
| 596 ## - |
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1 2 |
| 650 #0 - SUBJECT ADDED ENTRY--TOPICAL TERM |
| Topical term or geographic name entry element |
Financial crises. |
| 650 #0 - SUBJECT ADDED ENTRY--TOPICAL TERM |
| Topical term or geographic name entry element |
Global Financial Crisis, 2008-2009. |
| 650 #0 - SUBJECT ADDED ENTRY--TOPICAL TERM |
| Topical term or geographic name entry element |
Financial crises |
| Geographic subdivision |
United States. |
| 700 1# - ADDED ENTRY--PERSONAL NAME |
| Personal name |
Kolb, Robert W., |
| Dates associated with a name |
1949- |
| 830 #0 - SERIES ADDED ENTRY--UNIFORM TITLE |
| Uniform title |
Robert W. Kolb series in finance. |
| 942 ## - ADDED ENTRY ELEMENTS (KOHA) |
| Koha item type |
Books |
| 994 ## - |
| -- |
Z0 |
| -- |
SUPMU |