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ประเภทวัสดุ
ทรัพยากรอิเล็กทรอนิกส์
| LDR | | 06526nmm a2200589 i 4500 |
| 001 | | on1484927388 |
| 003 | | EBZ |
| 005 | | 20260216160522.0 |
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| 007 | | cr ||||||||||| |
| 008 | | 250108s2025 nju ob 001 0 eng |
| 010 | __ | ‡a2024042300 |
| 020 | __ | ‡a0691233462‡qelectronic book |
| 020 | __ | ‡a9780691233468‡q(electronic bk.) |
| 020 | __ | ‡a9780691232829‡qhardcover |
| 037 | __ | ‡aCF15DD20-580F-42D2-8622-5826FD9B7E9B‡bOverDrive, Inc.‡nhttp://www.overdrive.com |
| 037 | __ | ‡a22573/cats23507600‡bJSTOR |
| 040 | __ | ‡aSUTL |
| 050 | 04 | ‡aHG1778.U5‡bC66 2025eb |
| 072 | _7 | ‡aBUS‡x004000‡2bisacsh |
| 072 | _7 | ‡aBUS‡x027000‡2bisacsh |
| 072 | _7 | ‡aBUS‡x079000‡2bisacsh |
| 072 | _7 | ‡aHIS‡x036000‡2bisacsh |
| 072 | _7 | ‡aBUS‡x010000‡2bisacsh |
| 082 | 00 | ‡a332.10973‡223/eng/20250108 |
| 084 | __ | ‡aBUS004000‡aBUS010000‡2bisacsh |
| 100 | 1_ | ‡aConti-Brown, Peter,‡d1981-‡eauthor.‡1https://id.oclc.org/worldcat/entity/E39PCjt9cFBFY7QYwWtwH8Xwyb |
| 245 | 10 | ‡aPrivate finance, public power‡h[electronic resource] :‡ba history of bank supervision in America /‡cPeter Conti-Brown and Sean H. Vanatta. |
| 260 | _1 | ‡aPrinceton :‡bPrinceton University Press,‡c[2025] |
| 300 | __ | ‡a1 online resource (x, 412 pages) |
| 449 | __ | ‡aE-book, 2026 |
| 504 | __ | ‡aIncludes bibliographical references and index. |
| 520 | __ | ‡a"How regulating the banks became a separate and strange category of government power. Banks are unlike most other businesses, and over centuries, regulating banks has become a category of government power all its own. For some, the appropriate role of those supervising the banks approximates cops on the beat patrolling for crime; for others they should be more like fire wardens responding to emergencies. In real life they are compliance officers and auditors, risk managers and crisis responders, the bane of international drug cartels, and the friends of bank CEOs. The mandate of "supervising the banks" is not regulation and it is not the implementation of regulation. Rather, it is a fundamentally different way that the government exercises power over, and sometimes with, markets and society. The Banker's Thumb tells the history of this unusual form of public power. It argues that bank supervision is the "institutionalization of discretion" exercised by government actors over private banks and, eventually, the financial system as a whole. Authors Peter Conti-Brown and Sean H. Vanatta show how this supervision developed in fits and starts from roots in state law to become a residual category into which Congress has tossed a hodgepodge of distinct and at times conflicting paradigms of power, across a growing group of organizations engaged in interminable conflict. Understanding what this system is, where it came from, and how political actors and financial market participants engage with it can help organize the growing field of financial regulation. Conti-Brown and Vanatta also show how the history of bank supervision expands and sometimes challenges prevailing historical conceptions of state power and its many twists and turns through the 19th and 20th centuries, which can inform broader discussions about politics, law, finance, and the development of state and administrative capacity in the United States"--‡cProvided by publisher. |
| 520 | __ | ‡a"The strange and contested evolution of the management of banking riskBanks in America are private institutions with private shareholders, boards of directors, profit motives, customers, and competitors. And yet the public plays a key role in deciding what risks are taken as well as how, when, and to what end. Public-private negotiations over financial governance has evolved into an essential ecosystem of banking risk management. In Private Finance, Public Power, Peter Conti-Brown and Sean Vanatta offer a new history of finance and public policy in the United States by examining the idiosyncratic way the nation manages financial risk across the public-private divide. Covering two centuries, from the founding of the Republic to the early 1980s, Conti-Brown and Vanatta describe the often-contested, sometimes chaotic, engagement of bankers, politicians, bureaucrats, and others in the overlapping spaces of the public-private system of bank supervision.Conti-Brown and Vanatta trace the different supervisory frameworks that evolved over time, from the imposition of private liability on bank shareholders to the development of the central bank to the creation of federal deposit insurance. Negotiations took place at federal and state levels, but, over time, the federal government assumed most of the responsibility for managing financial risk. Moreover, federal supervisory officials began to undertake more varied tasks, including monitoring racial discrimination and managing financial concentration. Conti-Brown and Vanatta introduce a diverse cast of characters-bankers, politicians, bureaucrats, and others-and show how they navigated two hundred years of financial panics, scandals, and crises to build the system that structures modern America's banking system"--‡cProvided by publisher. |
| 590 | __ | ‡aAdded to collection customer.56279.3 |
| 650 | _0 | ‡aBanks and banking‡xState supervision‡zUnited States‡xHistory. |
| 650 | _0 | ‡aBanking law‡zUnited States‡xHistory. |
| 650 | _7 | ‡aBUSINESS & ECONOMICS / Banks & Banking.‡2bisacsh |
| 650 | _7 | ‡aBUSINESS & ECONOMICS / Business Law.‡2bisacsh |
| 700 | 1_ | ‡aVanatta, Sean H.,‡eauthor. |
| 776 | 08 | ‡iPrint version:‡aConti-Brown, Peter, 1981-‡tPrivate finance, public power‡dPrinceton : Princeton University Press, [2025]‡z9780691232829‡w(DLC) 2024042299 |
| 850 | __ | ‡aSUTCL |
| 856 | 40 | ‡3EBSCOhost‡uhttps://search.ebscohost.com/login.aspx?direct=true&scope=site&db=nlebk&db=nlabk&AN=4104903‡zE-book |
| 910 | __ | ‡aManagement |
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