Symposium Presentations
2010 Warwick Symposium on Banking Law
Managing Systemic Risk
Jack Selody
Advisor to the Governor of the Bank of Canada
The Nature of Systemic Risk
Larry D. Wall, David G. Mayes and Maria Nieto
Atlanta Federal Reserve / Europe Institute, University of Auckland / Banco de España
Creating an EU Level Supervisor for Cross-Border Banking Groups:
Issues Raised by the U.S. Experience with Dual Banking
Sebastian Schich
OECD
The Government as Guarantor of Last Resort: Benefits, Costs and Premium Setting Issues
Ioannis Kokkoris
Office of Fair Trading, UK
The EU Response: the EU decision to dismantle banks that have had state aid during the crisis?
Arnór Sighvatsson
Deputy Governor of the Central Bank of Iceland
The Icelandic Case: The Sovereign View
Marcus Miller
University of Warwick
Containing Financial Crises
Gillian G.H. Garcia
Associates TARP & Co.
Forbearance as far as the Eye Can See
Kern Alexander
University of Zurich
Which Future Model for Europe?
Richard J. Rosen
Federal Reserve Bank of Chicago
Too Much Right Can Make a Wrong: Setting the Stage for the Financial Crisis
Why Regulators Want New Financial Institution Insolvency Resolution Powers?
George Kaufman
Loyola University Chicago
Why Regulators Want New Financial Institution Insolvency Resolution Powers?
John McEldowney
University of Warwick
Managing Financial Risk: the Precautionary Principle and Protecting Public Interest
Rosa M. Lastra and Rodrigo Olivares-Caminal
Queen Mary University & Warwick University
From Consolidated Supervision to Consolidated Resolution
Jens-Hinrich Binder
Albert-Ludwigs-Universitaet Freiburg
‘Too Big To Fail’: Can Alternative Resolution Regimes Really Address
Systemic Risk in Large Financial Institutions Insolvency
Syed Othman Alhabshi
Dean of the International Centre for Education in Islamic Finance (INCEIF)
Risk Management: An Islamic View-point
Rustam Mohd Idris
Bank Negara Malaysia
Contemporary Development in Islamic Finance
Md Khairuddin Bin Hj Arshad
Chief Operating Officer, Malaysia Deposit Insurance Corporation
Islamic Deposit Insurance System: The Malaysian Model
Joseph J. Norton and Douglas Arner
SMU / Hong Kong University
Basel III: Capital, Leverage, Liquidity
Dalvinder Singh
University of Warwick
The Role and Function of the Financial Stability Committee: A European Study
Robert Bliss
Wake Forest University
Stampeding Counterparties: The Problem of Customer, Wholesale Funding, and Derivatives Runs
Jean Pierre Sabourin
Chief Executive Officer, Malaysia Deposit Insurance Corporation
Deposit Insurer’s role in transitioning from a Government Deposit Guarantee
Jean Roy
HEC Montréal
Why is the Canadian Banking System so Remarkably Stable?
Andreas Jobst and Dale Gray
International Monetary Fund
Systemic Contingent Claims: A Model Approach
Thomas Laryea
Assistant General Counsel, IMF
The Relationship between Private Debt and Sovereign Debt in Systemic Crises
Philip Wood
Senior Global Counsel, Allen & Overy
Where From—Where To: Can Sovereigns go Bankrupt?
Matt Lucas
Financial Services Authority
Living Wills
John Raymond LaBrosse
Patterson & LaBrosse Financial Consultants, Canada
Canadian Financial Safety Net
Heidi Schooner
Catholic University of America
US Financial System Safety Net: Prospects for Reform
Rafiz Azuan Abdullah
Malaysia Deposit Insurance Corporation
Malaysia Safety Net
Ganiyu Ogunleye
Jaffa Consulting Limited
Reforming the Nigerian Financial Safety Net
Where Do We Go from Here?
David Walker
Canada Deposit Insurance Corporation
John Snape
University of Warwick
Andrew Campbell
University of Leeds