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Herring, Richard

Overview
Works: 96 works in 308 publications in 2 languages and 11,432 library holdings
Genres: Conference proceedings  History  Sample books 
Roles: Author, Editor, Honoree, Contributor
Classifications: HG136, 332.042 S
Publication Timeline
Key
Publications about Richard Herring
Publications by Richard Herring
Most widely held works about Richard Herring
  • Papers by Richard Herring( Archival Material )
 
Most widely held works by Richard Herring
Managing foreign exchange risk : essays commissioned in honor of the centenary of the Wharton School, University of Pennsylvania by Richard Herring( Book )
20 editions published between 1983 and 1986 in English and held by 605 libraries worldwide
Managing international risk : essays commissioned in honor of the centenary of the Wharton School, University of Pennsylvania by Richard Herring( Book )
21 editions published between 1983 and 1986 in English and held by 582 libraries worldwide
Financial regulation in the global economy by Richard Herring( Book )
10 editions published between 1994 and 1995 in English and held by 582 libraries worldwide
This book, part of the Integrating National Economies series, examines the case for international harmonization of financial regulation and supervision. Richard J. Herring and Robert E. Litan analyze three basic questions that arise as financial institutions seek to broaden their global reach: What should be the rights of access to markets in different countries? Whose rules should apply? And, which regulatory bodies should enforce these rules? The authors provide a framework for understanding the measures to regulate international financial institutions that countries have agreed on so far. They project potential changes in the international marketplace and the implications of those changes for regulatory policy. They discuss how policymakers should respond and, given the relevant policy constraints, how they are likely to respond. The book concludes with proposals designed to emphasize discipline of financial institutions by the market rather than by regulators
The current crisis in international lending by Jack M Guttentag( Book )
8 editions published in 1985 in English and Undetermined and held by 568 libraries worldwide
Disaster myopia in international banking by Jack M Guttentag( Book )
12 editions published between 1985 and 1986 in English and Undetermined and held by 420 libraries worldwide
The lender-of-last-resort function in an international context by Jack M Guttentag( Book )
12 editions published in 1983 in English and Undetermined and held by 418 libraries worldwide
National monetary policies and international financial markets by Richard Herring( Book )
14 editions published between 1976 and 1978 in English and held by 418 libraries worldwide
Accounting for losses on sovereign debt : implications for new lending by Jack M Guttentag( Book )
12 editions published between 1988 and 1989 in English and held by 393 libraries worldwide
After the crash : the future of finance by Yasuyuki Fuchita( Book )
14 editions published in 2010 in English and held by 290 libraries worldwide
"Examines the ramifications of the 2007-08 financial crisis on the financial services industry and some of its practices and how these are likely to change in the future"--Provided by publisher
Prudent lending restored : securitization after the mortgage meltdown by Yasuyuki Fuchita( Book )
10 editions published in 2009 in English and held by 283 libraries worldwide
"Examining growth of complex securitized structures in U.S. and world markets, provides a timeline of key events, proposing explanations for the resulting financial crisis. Offers suggestions on securitization reform, including a solution to insure the mortgage market against default risk. Provides strategies to increase transparency and encourage more prudent lending"--Provided by publisher
The known, the unknown, and the unknowable in financial risk management : measurement and theory advancing practice by Francis X Diebold( Book )
11 editions published between 2007 and 2012 in English and held by 265 libraries worldwide
A clear understanding of what we know, don't know, and can't know should guide any reasonable approach to managing financial risk, yet the most widely used measure in finance today--Value at Risk, or VaR--reduces these risks to a single number, creating a false sense of security among risk managers, executives, and regulators. This book introduces a more realistic and holistic framework called KuU--the Known, the unknown, and the Unknowable--that enables one to conceptualize the different kinds of financial risks and design effective s
Growing old : paying for retirement and institutional money management after the financial crisis by Yasuyuki Fuchita( Book )
8 editions published in 2011 in English and held by 251 libraries worldwide
"Explores issues in financing retirement, from fundamental changes in types of pension plans offered to pension funds' investment strategies following the global financial crisis. Focuses in particular on the adequacy of individuals' and institutions' plans in the face of increasing life expectancy and the aging of the population"--Provided by publisher
Rocky times : new perspectives on financial stability by Yasuyuki Fuchita( Book )
9 editions published in 2012 in English and held by 187 libraries worldwide
It has been four years since the financial crisis of 2008, and the global financial system still is experiencing malaise caused by high rates of unemployment; a lingering, unresolved supply of foreclosed properties; the deepening European debt crisis; and fear of a recurrence of the bank turmoil that brought about the Great Recession. All of these factors have led to stagnant economic growth worldwide. In Rocky Times, editors Yasuyuki Fuchita, Richard J. Herring, and Robert E. Litan bring together experts from academia and the banking sector to analyze the difficult issues surrounding troubled large financial institutions in an environment of economic uncertainty and growing public anger. Continuing the format of the previous Brookings- Nomura collaborations, Rocky Times focuses largely on developments within the United States and Japan but looks at those in other nations as well. This volume examines two broad areas: the Japanese approach to regulating financial institutions and promoting financial stability and the U.S. approach in light of the Dodd-Frank Act. Specific chapters include "Managing Systemwide Financial Crises: Some Lessons from Japan since 1990," "The Bankruptcy of Bankruptcy," "The Case for Regulating the Shadow Banking System," "Why and How to Design a Contingent Convertible Debt Requirement," and "Governance Issues for Macroprudential Policy in Advanced Economies."
Financial restructuring to sustain recovery by Martin Neil Baily( Book )
6 editions published in 2013 in English and held by 167 libraries worldwide
How much financial regulation will adequately reduce future systemic threats to the financial sector? To what extent can international authorities legally oversee the financial activities and outcomes of other transnational entities? Can macroprudential policy be aligned successfully with monetary policy to weather another boom-bust cycle? Editors Martin Neil Baily, Richard Herring, and Yuta Seki envision a global policy response to the financial crisis, designed to maintain sector-wide economic growth and improve profitability, rather than a response limited to secure only the stren
A safer world financial system : improving the resolution of systemic institutions by Stijn Claessens( Book )
3 editions published in 2010 in English and held by 122 libraries worldwide
The Role of capital in financial institutions by Allen N Berger( Book )
8 editions published in 1995 in English and held by 28 libraries worldwide
Financial regulation in a global economy by Richard Herring( Book )
2 editions published in 1995 in Undetermined and English and held by 23 libraries worldwide
Brookings-Wharton papers on financial services, 2003 ( Book )
1 edition published in 2003 in English and held by 18 libraries worldwide
The moral hazard constraint on the pricing of deposit insurance by Richard Herring( Book )
3 editions published between 1985 and 1988 in English and held by 14 libraries worldwide
 
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Alternative Names
Herring, R. J.
Herring, Richard.
Herring, Richard J.
Herring, Richard J. (Richard John)
Herring, Richard John.
Herring, Richard Jorn
Richard Herring britisk komikar
Richard Herring britisk komiker
Richard Herring brittisk komiker
Richard Herring comico, scrittore e sceneggiatore britannico
Ричард Херинг британски комичар и писател
Херринг, Ричард
Languages
English (182)
German (1)
Covers
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