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Financial Crisis, Corporate Governance, and Bank Capital
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Financial Crisis, Corporate Governance, and Bank Capital

Book Details

Format Hardback or Cased Book
ISBN-10 1107170648
ISBN-13 9781107170643
Publisher Cambridge University Press
Imprint Cambridge University Press
Country of Manufacture GB
Country of Publication GB
Publication Date Mar 10th, 2017
Print length 256 Pages
Weight 498 grams
Dimensions 15.80 x 23.40 x 2.10 cms
Ksh 8,200.00
Manufactured on Demand 0 in stock

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This book proposes a solution to the 'too big to fail' problem that will help to prevent future financial crises through the restructuring of executive incentive programmes. It will be of great value to corporate executives, corporate board members, institutional investors and economic policymakers, as well as students studying finance, economics and law.
In the aftermath of the 2007–8 crisis, senior policymakers and the media have blamed excessive risk-taking undertaken by bank executives, in response to their compensation incentives, for the crisis. The inevitable follow-up to this was to introduce stronger financial regulation, in the hope that better and more ethical behaviour can be induced. Despite the honourable intentions of regulation, such as the Dodd–Frank Act of 2010, it is clear that many big banks are still deemed too big to fail. This book argues that by restructuring executive incentive programmes to include only restricted stock and restricted stock options with very long vesting periods, and financing banks with considerably more equity, the potential of future financial crises can be minimized. It will be of great value to corporate executives, corporate board members, institutional investors and economic policymakers, as well as graduate and undergraduate students studying finance, economics and law.

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