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This book provides a review and preview of important emerging challenges facing financial regulators across the globe ranging from Federal Reserve (USA) to the Bank of Japan. It takes a perspective to anticipate where these challenges lie. Wherever appropriate, the book further examines these matters in the Indian context. Anticipating that central banks will be dealing with the after-effects of “do what it takes” monetary policy adopted during and after the financial crisis brought about by the pandemic, the book explores through its eleven chapters topics such as -- a balanced assessment of risk management with a particular focus on Basel III; a discussion on large technology, digital finance, and digital insurance; climate change and its attendant risks; cyber-crime; cryptocurrencies; impact of pandemic, bankruptcy, and so on. The book is aimed at banks staff, regulators, and accountancy firms as well as at graduate and post-graduate students specializing in economics, commerce,finance, and management.
Published by: Palgrave Macmillan
Publication Date: 2025-06-08
Format: Hardcover
ISBN-13: 9789819654420
DOI: 10.1007/978-981-96-5443-7
Dimensions: 210cm x148cm
Pages: 193