Achieving Financial Stability in Asia.
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Description
Achieving Financial Stability in Asia sets out to identify the elements which could restore confidence to the countries of the region and stabilise financial flows on a global basis. Thus, measures must be taken which include improving public and corporate governance, strengthening democracy and improving the efficiency of regulatory institutions. At the same time, emerging economies ought to be given a greater measure of participation in international regulatory bodies, so that any solutions proposed to dampen the volatility of financial flows might take their interests and opinions into acco. Read more... Preface Welcoming Remarks Welcoming Remarks Introduction PART ONE FINANCIAL SYSTEMS AND STABILITY On Reforming the International Financial System: An East Asian Perspective Towards a Sustainable Financial System: A Role for the Financial Stability Forum Indonesia: the Road to Recovery Towards a Sustainable Financial System: Analysis and Prospects Towards a Sustainable Financial System: The Malaysian Situation New Approach to the International Financial System The Road to Reform: A Role for Europe, a Role for France. Prospects for a Stable Financial System: A Dose of RealitiesInternational Financial Stability: The Contribution of the OECD Principles of Corporate Governance PART TWO POLICIES FOR RECOVERY AND CRISIS PREVENTION Policies for Crisis Prevention Banking Sector Reforms Recovery Prospects and Policy Issues Post-Crisis Issues in Asian Capital Markets Corporate Governance and Restructuring in East Aisa: An OECD Perspective Programme List of Authors and Participants.
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