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Regulatory influence on market conditions in the banking union: The cases of macro-prudential instruments and the bail-in tool. (2015). Tröger, Tobias ; Troger, Tobias H..
In: IMFS Working Paper Series.
RePEc:zbw:imfswp:93.

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  1. Should the marketing of subordinated debt be restricted/different in one way or the other? What to do in the case of mis-selling?. (2016). Tröger, Tobias ; Goetz, Martin ; Gotz, Martin R ; Troger, Tobias.
    In: SAFE White Paper Series.
    RePEc:zbw:safewh:35.

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References

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  1. Admati A and Hellwig M (2013) The Bankers' New Clothes. Princeton University Press, Princeton Adrian T and Ashcraft AB (2012) Shadow Banking Regulation, Federal Reserve of New York Staff Reports No. 559, http://www.newyorkfed.org/research/staff_reports/sr559.pdf.

  2. Armour J (2014) Making Bank Resolution Credible, ECGI Law Working Paper No. 244/2014, http://ssrn.com/abstract=2393998 Bank of England (2009) The role of macroprudential policy, Discussion Paper, http://www.bankofengland.co.uk/publications/Documents/other/financialstability/roleofma croprudentialpolicy091121.pdf In a sense, the simple rule of Dodd-Frank Wall Street Reform and Consumer Protection Act 214 may work better in the political sphere: it seems much harder to find a pettifoggery argument to justify the legality of future ad hoc bail-outs in the US. The rule thus is more likely to force political decision makers to confess their intentions and defend them in a democratic discourse.

  3. Barker A (2013) Brussels stands ground against Mario Draghi over bailout curbs, Financial Times Online Oct. 20, http://www.ft.com/cms/s/0/13cc9614-397f-11e3-a3a4-00144feab7de.html Binder JH (2014) Resolution: Concepts, Requirements and Tools, Working Paper, http://ssrn.com/abstract=2499613 BIS (2011) Central Bank Governance and Financial Stability, http://www.bis.org/publ/othp14.pdf Borio C (2003) Towards a Macroprudential Framework for Financial Supervision and Regulation?.

  4. CESifo Economic Studies 49: 181–216 Borio C (2009) Implementing the macroprudential approach to financial regulation and supervision.

  5. On this aspect see also Gleeson 2012, pp. 8-10.
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  6. Oxford University Press, Oxford, pp.1-10 Reinhart CM and Rogoff KS (2009) This Time is Different: Eight Centuries of Financial Folly. Princeton, Princeton University Press Schweikhard FA and Tsesmelidakis Z (2012) The Impact of Government Interventions on CDS and Equity Markets, American Finance Association 2012 Chicago Meetings Working Paper, http://ssrn.com/abstract=1573377 Smets F (2014) Financial Stability and Monetary Policy: How Closely Interlinked?, International Journal of Central Banking 10: 263-300 Sommer JH (2014) Why Bail-In? And How!, Federal Reserve Bank of New York Economic Policy Review 20(2): 207-228.

  7. The general attitude of the Commission can be inferred from its Banking Communication, Communication from the Commission on the application, from 1 August 2013, of State aid rules to support measures in favour of banks in the context of the financial crisis, OJ C 216, 30.7.2013, p. 1. Moreover, at least the then incumbent Commission stood its ground in the face of high-level calls not to destroy investor confidence with harsh bail-in rules, Barker 2013.
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