Get Free Shipping on orders over $79
Debt Capital Markets : Law, Regulation, and Policy - Vincenzo Bavoso

Debt Capital Markets

Law, Regulation, and Policy

By: Vincenzo Bavoso

eText | 11 November 2024 | Edition Number 1

At a Glance

eText


$156.45

or 4 interest-free payments of $39.11 with

 or 

Instant online reading in your Booktopia eTextbook Library *

Why choose an eTextbook?

Instant Access *

Purchase and read your book immediately

Read Aloud

Listen and follow along as Bookshelf reads to you

Study Tools

Built-in study tools like highlights and more

* eTextbooks are not downloadable to your eReader or an app and can be accessed via web browsers only. You must be connected to the internet and have no technical issues with your device or browser that could prevent the eTextbook from operating.

Debt capital markets have been at the heart of regulatory and policy debates since the global financial crisis of 2008. In this work, Vincenzo Bavoso explores the role financial markets and products have in fuelling episodes of crises and financial instability. Focussing on the law and regulation, but also drawing on current economics and finance scholarship, Debt Capital Markets examines both the pre-2008 regulatory environment, and the framework that has emerged from post-crisis regulatory corrections since. Charting the evolution of debt capital markets and the transformation and liberalisation of the financial markets throughout the 1980s and 1990s, the book outlines how debt capital markets - from bonds to more sophisticated forms of securitised credit - have become engines of private debt creation, excessive levels of leverage, and inevitably, financial instability. It covers all the main channels of debt intermediation in capital markets (bonds, commercial paper, covered bonds, securitisation, collateralised debt obligations, collateralised loan obligations), and explains relevant synergies with adjacent markets and products (such as credit derivatives, repurchase agreements, or FinTech lending). Bavoso argues that the regulatory response after the 2008 global financial crisis has been insufficient so that debt capital markets remain the main locus of financial instability today. His book provides a complex analysis of financial markets that accounts for theoretical, practical, and regulatory aspects. It provides a multifaceted and contextual appraisal of the role of debt capital markets, together with the legal and regulatory challenges posed by their development.

on
Desktop
Tablet
Mobile

More in Financial Law

Bounce Back From Bankruptcy 5th Edition - Paula Langguth Ryan

eBOOK

RRP $25.38

$20.99

17%
OFF
The Birth of a Bank - Azhar ul Haque Sario

eBOOK

Fundamentals of Title Insurance, Second Edition - James L. Gosdin

eBOOK

Bank of Elon : IMF 2.0 - Slava Solodkiy

eBOOK

Sutton on Insurance Law

eTEXT

Cruise Ship Security - Mourad EL HIMRI

eBOOK