THE FUTURE OF FINANCIAL REGULATION Lessons from the Global Financial Crisis

被引:2
|
作者
Drew, Michael [1 ]
机构
[1] Griffith Univ, Griffith Business Sch, Finance, Nathan, Qld, Australia
关键词
D O I
10.1080/10854665.2010.10854665
中图分类号
D9 [法律]; DF [法律];
学科分类号
0301 ;
摘要
This issue of the Griffith Law Review considers the future of financial regulation following the global financial crisis (GFC). The GFC has tested long-held assumptions and conventional wisdom regarding the integrity of the global financial architecture. The impact on investors of consecutive years of downside volatility requires the dawn of a new paradigm in financial regulation. This doesn't mean a routine review of systemic risk factors, a recalibration of regulatory agencies or another variant of the Value-at-Risk model; instead, the GFC has represented a structural break, a tectonic shift that requires new and coordinated approaches to regulation.
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页数:5
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