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    1. Ekonomi och Ledarskap
    2. Nationalekonomi
    3. Ekonomisk politik

    (Mis)managing Macroprudential Expectations

    How Central Banks Govern Financial and Climate Tail Risks

    AvJohn H. Morris,Hannah Collins

    Inbunden, Engelska, 2023

    1 490 kr

    Beställningsvara. Skickas inom 5-8 vardagar. Fri frakt över 249 kr.

    Beskrivning

    Using a range of calculative devices, (Mis)managing Macroprudential Expectations explores the methods used by central banks to predict and govern the tail risks that could impact financial stability. Through an in-depth case study, the book utilises empirically-informed theoretical analysis to capture these low-probability and high-impact events, and offers a novel conceptualisation of the role of risk modelling within the macroprudential policy agenda.The book asserts that central banks’ efforts to capture tail risks go beyond macroprudential policy objectives of identifying and monitoring systemic risks to financial stability. It illustrates how the calculation of tail risk contributes to managing the expectations that regulated institutions have around the Bank of England’s macroprudential approach, its willingness to support struggling institutions, and its use of novel macroprudential policy tools. Situating tail risk within the broader realm of climate finance, chapters contend that the identification of future climate tail risks simultaneously reveals opportunities for private profit and non-bank lending within the financial system, in ways that are potentially destabilizing. The book concludes by highlighting the social and political limitations of central banks’ new macroprudential approach.Transdisciplinary in approach, this book will be invaluable to students and scholars interested in the intersections between climate studies, political science and public policy, environmental economics, banking and finance, and political economy. Its practical applications will also be a useful resource to climate and finance policymakers working in central banking.

    Produktinformation

    • Utgivningsdatum:2023-07-28
    • Mått:156 x 234 x undefined mm
    • Format:Inbunden
    • Språk:Engelska
    • Förlag:Edward Elgar Publishing Ltd
    • ISBN:9781800887589

    Utforska kategorier

    • Ekonomisk politik inom Ekonomi och Ledarskap
    • Finansiering inom Ekonomi och Ledarskap
    • Finanskriser inom Ekonomi och Ledarskap

    Mer om författaren

    John Hogan Morris, Assistant Professor of Economic Geography, School of Geography, University of Nottingham and Hannah Collins, Postgraduate Researcher, School of Agriculture, Policy and Development, University of Reading, UK

    Recensioner i media

    ‘John Morris and Hannah Collins are keen-eyed detectives. They take a seemingly innocuous technical exercise into assessing the risks of climate change to the UK’s financial sector and turn it into an imaginatively theoretical and empirically rich account of the wider implications of viewing climate change as just another set of risks to be managed by private finance and overseen by regulatory authorities such as the Bank of England. This bracing contribution will fire debate and shape an emerging and critical research agenda crossing financial geography, cultural economy, and climate justice.’

    Innehållsförteckning

    • Contents: Preface 1. Introduction to (Mis)managing Macroprudential Expectations: the turn to tail risk PART I MANAGING MACROPRUDENTIAL EXPECTATIONS 2. Macroprudential expectations management 3. Cyclical tail risk 4. Exploratory tail risk PART II MISMANAGING CARBON FUTURES 5. Climate tail risks 6. Monitoring or marketing climate tail risks? 7. Shadow banking and carbon transition risk 8. Conclusions Bibliography Index