WorldCat Identities

Draghi, Mario

Overview
Works: 61 works in 133 publications in 2 languages and 1,106 library holdings
Genres: History  Conference papers and proceedings  Biography 
Roles: Author, Editor, Author of introduction, Other, ed, Author of afterword, colophon, etc.
Publication Timeline
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Most widely held works about Mario Draghi
 
Most widely held works by Mario Draghi
Public debt management : theory and history by Rudiger Dornbusch( Book )

32 editions published between 1989 and 2008 in English and Undetermined and held by 690 WorldCat member libraries worldwide

This volume from the Centre for Economic Policy Research brings together research on the management of public debt and its implications for financial stability
Transparency, risk management and international financial fragility by Mario Draghi( Book )

9 editions published between 2003 and 2004 in English and held by 154 WorldCat member libraries worldwide

"This report analyses specific situations in which significant unanticipated and unintended financial risks can accumulate. The focus is, in particular, on the implicit guarantees that governments extend to banks and other financial institutions, and which may result in the accumulation, often unrecognised from the viewpoint of the government, of unanticipated risks in the balance sheet of the public sector."--Jacket
Transparency, risk management and international financial fragility by Mario Draghi( Book )

10 editions published in 2003 in English and held by 87 WorldCat member libraries worldwide

Abstract: Discussions of financial risk often fail to distinguish between risks that are consciously borne and those that are not. To understand the breeding conditions for financial crises the prime focus of concern should not be simply on large risk-taking per se, but on the unintended, or unanticipated accumulation of large risks by individuals, institutions or governments, often through the lack of knowledge or understanding of the risks by stakeholders and overseers of those entities. This paper analyses specific situations in which significant unanticipated and unintended financial risks are accumulated. It focuses, in particular, on the implicit guarantees that governments extend to banks and other financial institutions, which may result in the accumulation, often unconscious from the viewpoint of the government, of unanticipated risks in the balance sheet of the public sector. The paper also discusses how risk exposures can be measured, hedged and transferred through the use of derivatives, swap contracts, and other contractual agreements with specific reference to emerging markets
Making the European monetary union by Harold James( )

9 editions published in 2012 in English and held by 38 WorldCat member libraries worldwide

"Europe's financial crisis cannot be blamed on the Euro, Harold James contends in this probing exploration of the whys, whens, whos, and what-ifs of European monetary union. The current crisis goes deeper, to a series of problems that were debated but not resolved at the time of the Euro's invention. Since the 1960s, Europeans had been looking for a way to address two conundrums simultaneously: the dollar{8217}s privileged position in the international monetary system, and Germany's persistent current account surpluses in Europe. The Euro was created under a politically independent central bank to meet the primary goal of price stability. But while the monetary side of union was clearly conceived, other prerequisites of stability were beyond the reach of technocratic central bankers. Issues such as fiscal rules and Europe-wide banking supervision and regulation were thoroughly discussed during planning in the late 1980s and 1990s, but remained in the hands of member states. That omission proved to be a cause of crisis decades later. Here is an account that helps readers understand the European monetary crisis in depth, by tracing behind-the-scenes negotiations using an array of sources unavailable until now, notably from the European Community's Committee of Central Bank Governors and the Delors Committee of 1988{8211}89, which set out the plan for how Europe could reach its goal of monetary union. As this foundational study makes clear, it was the constant friction between politicians and technocrats that shaped the Euro. And, Euro or no Euro, this clash will continue into the future."--The dust-jacket front flap
Produttività del lavoro, salari reali e occupazione by Mario Draghi( Book )

5 editions published between 1979 and 1980 in Italian and held by 17 WorldCat member libraries worldwide

Luigi Einaudi: libertà economica e coesione sociale by Alfredo Gigliobianco( Book )

3 editions published between 2010 and 2011 in Italian and held by 14 WorldCat member libraries worldwide

""Non tutti gli uomini - scriveva Luigi Einaudi nel 1942 - hanno l'anima del soldato o del capitano disposti ad ubbidire o a lottare ogni giorno quant'è lunga la vita. Molti, moltissimi, forse tutti in un certo momento della vita sentono il bisogno di riposo, di difesa, di rifugio. Vogliono avere un'oasi dove riposare, vogliono sentirsi per un momento difesi da una trincea contro l'assillo continuo della concorrenza, della emulazione, della gara." Fino a che punto la concorrenza possa governare la società senza strapparla e fino a che punto il welfare state la possa proteggere senza appiattirla sono interrogativi di Einaudi che oggi ritrovano un'acuta attualità. Utilizzando approcci diversi {u2013} storia, economia, epistemologia, linguistica {u2013} gli autori di questo libro affrontano i temi della giustizia sociale, dell'uguaglianza dei punti di partenza, della capacità di innovare non solo dell'economia, ma della società intera." --
Studi di economia monetaria internazionale by Mario Draghi( Book )

3 editions published in 1978 in Italian and Undetermined and held by 10 WorldCat member libraries worldwide

US-EU regulatory convergence : capital markets issues by Mario Draghi( Book )

3 editions published in 2003 in English and held by 7 WorldCat member libraries worldwide

Il sistema dei pagamenti : economia e regole by Gianni Bonaiuti( Book )

1 edition published in 2010 in Italian and held by 5 WorldCat member libraries worldwide

Transparency, risk management and international financial fragility by Mario Draghi( Book )

2 editions published in 2003 in English and held by 3 WorldCat member libraries worldwide

Discussions of financial risk often fail to distinguish between risks that are consciously borne and those that are not. To understand the breeding conditions for financial crises the prime focus of concern should not be simply on large risk-taking per se, but on the unintended, or unanticipated accumulation of large risks by individuals, institutions or governments, often through the lack of knowledge or understanding of the risks by stakeholders and overseers of those entities. This paper analyses specific situations in which significant unanticipated and unintended financial risks are accumulated. It focuses, in particular, on the implicit guarantees that governments extend to banks and other financial institutions, which may result in the accumulation, often unconscious from the viewpoint of the government, of unanticipated risks in the balance sheet of the public sector. The paper also discusses how risk exposures can be measured, hedged and transferred through the use of derivatives, swap contracts, and other contractual agreements with specific reference to emerging markets
Monetary policy, expectations and financial markets by Mario Draghi( Book )

1 edition published in 2008 in English and held by 3 WorldCat member libraries worldwide

Privatizzazioni e governo societario by Mario Draghi( )

1 edition published in 2000 in Italian and held by 2 WorldCat member libraries worldwide

Basel III and beyond : a guide to banking regulation after the crisis by Francesco Cannata( Book )

1 edition published in 2011 in English and held by 2 WorldCat member libraries worldwide

Around the world, central bankers, regulators and governments have responded to the financial crisis with new regulation and legislation. The cornerstone of this global initiative to contain risk is Basel III - sweeping new regulatory standards for banks on capital adequacy and liquidity. These new standards will define markets and their practices for decades to come. Already, they are reshaping institutions, business models and balance sheets. Understanding Basel III and the thinking behind it is essential for market participants and for those charged with implementing the standards. In Basel III and Beyond, the first book-length treatment of Basel III, editors Mario Quagliariello of the European Banking Authority and Francesco Cannata of the Bank of Italy have assembled contributors from regulators and central banks involved in preparing the standards including a foreword from Mario Draghi, President of the European Central Bank. Key chapters describe and analyse the new elements of Basel III, as well as detailing important revisions to the 2004 accord. Written by the regulators themselves, Basel III and Beyond is the essential guide to the new global banking standards
Statement of Mario Draghi, chairman of the Financial Stability Board, to the International Monetary and Financial Committee by Mario Draghi( )

1 edition published in 2009 in English and held by 2 WorldCat member libraries worldwide

Remarks by Mr. Draghi at the 19th Meeting of the IMFC, April 25, 2009, regarding the efforts of the Financial Stability Board to stabilize the global financial system and plan a future regulatory environment
Essays on economic theory and applications by Mario Draghi( Book )

2 editions published in 1976 in English and Italian and held by 2 WorldCat member libraries worldwide

Attività conoscitiva preliminare all'esame dal Documento di programmazione economico-finanziaria per gli anni 2008-2011 by Mario Draghi( Book )

2 editions published in 2007 in Italian and held by 2 WorldCat member libraries worldwide

Ragioni e obiettivi del Testo Unico della finanza by Mario Draghi( )

1 edition published in 1999 in Italian and held by 2 WorldCat member libraries worldwide

La moneta : [dai trenta denari di Giuda alle speculazioni di John Law ...] by Myrta Merlino( Book )

2 editions published in 2003 in Italian and held by 2 WorldCat member libraries worldwide

Il mercato finanziario italiano ad una svolta : linee guida dell' azione di riforma by Mario Draghi( )

1 edition published in 1999 in Italian and held by 2 WorldCat member libraries worldwide

La baracca degli angeli by Roberto Gatti( Book )

1 edition published in 2011 in Italian and held by 2 WorldCat member libraries worldwide

 
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Audience Level
1
  Kids General Special  
Audience level: 0.51 (from 0.16 for Basel III ... to 0.99 for Ragioni e ...)

Public debt management : theory and history
Covers
Transparency, risk management and international financial fragility
Alternative Names
Mario Draghi Economista - Presidente del Banco Central Europeo

Mario Draghi Italiaans econoom

Mario Draghi Italian banker and economist

Mario Draghi italienischer Bankmanager, Präsident der Europäischen Zentralbank

Mario Draghi italiensk bankier og økonom

Mario Draghi italiensk bankir och ekonom

Mario Draghi italiensk bankmann og økonom

Mario Draghi Troisième président de la Banque centrale européenne

Mario Dragi

Marius Draghi

Μάριο Ντράγκι

Драги, Марио

Марио Драги

Маріо Драґі

Մարիո Դրագի

מריו דראגי

ماريو دراجي

ماريو دراجي اقتصادي ومصرفي إيطالي

ماریو دراگی اقتصاددان ایتالیایی

ماریۆ دراگی

मारियो द्रागी

마리오 드라기

マリオ・ドラギ

马里奥·德拉基 Italian economist and central banker

Languages
English (68)

Italian (22)