O risco sistêmico no foco da regulação financeira pós-crise
Palabras clave:
Regulação financeira, Crise financeira, Risco sistêmico.Resumen
O presente trabalho tem por objetivo investigar o impacto da crise financeira de 2008-2009 nos paradigmas da regulação financeira, analisando como sua ocorrência se refletiu em instrumentos regulatórios elaborados posteriormente. Além de um breve panorama das causas e características da crise e da classificação da regulação financeira tradicionalmente compreendida, são estudados dois instrumentos: Basileia III e a Instrução n. 484/2010 da Comissão de Valores Mobiliários. Conclui-se que a preocupação com o risco sistêmico passou a assumir um papel mais amplo do que desempenhava na regulação como concebida anteriormente, atenuando as fronteiras entre as categorias tradicionais da regulação financeira.Descargas
Referencias
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Derechos de autor 2016 Revista da Faculdade de Direito, Universidade de São Paulo
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