International Bank Crisis Management/国际银行危机管理/国际银行风险管理
(英文,可编辑的pdf电子文档)
Textbook:International Bank Crisis Management: A Transatlantic Perspective
Author(s): Marco Bodellini
Course Description:
 International bank crisis management has become a key part of banking and banking regulation. Accordingly, International Bank Crisis Management – A Transatlantic Perspective analyses the legal regimes governing bank crisis management in the EU, UK and US, discussing the different procedures and tools available as well as the regulatory architecture and the authorities involved.
Building on a broad working definition of ‘bank crisis management’ and referring to several cases, this book explores the techniques and approaches employed by the authorities to deal with troubled banks on both sides of the Atlantic. The legal analysis distinguishes between procedures and tools aimed at liquidating the bank in crisis vis-à-vis those aimed at restructuring. In this regard, attention is paid to the rules allowing for the use of public money in handling banks in trouble as well as to the role that deposit insurance schemes can play. Considerations on the impact on banks of the current crisis provoked by the COVID-19 pandemic are advanced, primarily focusing on the expected surge of non-performing loans as well as on ways to effectively manage these assets.
These issues are approached from a comparative law perspective, providing law and economics considerations and focusing on strengths and drawbacks of the rules currently in force. On these grounds, this work advances some policy considerations as well as reform proposals aiming at enhancing the legal regimes in force.