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Archive » May 2012 » New regulation and responsibilities in the banking and financial markets

New regulation and responsibilities in the banking and financial markets

Vittorio Conti
May 2012 - n°5
Jel codes: G01, G21, G28

The recent debate on the markets turmoil has been focused also on the responsibilities of regulatory framework and the limited effectiveness of supervision to monitor events with systemic implications. A deep revision of rules and supervisory approaches is necessary, both in the United States and in Europe, and a greater attention to the interconnections between all kinds of risks

 

 

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