Tackling macroeconomic risks : a case for stronger transatlantic cooperation

Zusammenfassung: The financial and economic crisis that was triggered by the collapse of Lehman Brothers in 2008 has vastly altered risk perception and management on both sides of the Atlantic. But the perception of macroeconomic and financial risks and policy responses do not always align in the United States and the European Union. In the US, policies have focused primarily on systemic financial and macro-prudential risk (e.g. risks from real estate, securities and banking markets); in the EU, the focus has been on risks stemming directly from the macro economy (e.g. economic and fiscal imbalances) and, in the context of the euro area, the adverse link between sovereign debt and the banking sector. While the US largely views itself as having exited the crisis, the EU is still mired in it, and this almost by definition puts the transatlantic partners in different positions going forward. Also, the euro area must address fundamental issues of its governance whereas the US must overcome political stalemate within the parameters of divided government. Nonetheless, the transatlantic partners have an interest in strengthening cooperation and coordination, even if this is not always easy

Standort
Deutsche Nationalbibliothek Frankfurt am Main
Umfang
Online-Ressource (8 S.)
Sprache
Englisch

Erschienen in
SWP Comments ; 33/2012

Klassifikation
Wirtschaft
Schlagwort
Europäische Union
Finanzkrise
Krisenmanagement
Risikomanagement
Internationale Kooperation
USA

Ereignis
Veröffentlichung
(wo)
Berlin
(wer)
Stiftung Wissenschaft und Politik
(wann)
2012
Urheber
Medearis, Amy
Beteiligte Personen und Organisationen
Deutsch, Klaus Günter
Stiftung Wissenschaft und Politik

URN
urn:nbn:de:101:1-2024020815572496291506
Rechteinformation
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Letzte Aktualisierung
15.08.2025, 07:27 MESZ

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Beteiligte

  • Medearis, Amy
  • Deutsch, Klaus Günter
  • Stiftung Wissenschaft und Politik

Entstanden

  • 2012

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