IIF Response to the Global Financial Crisis: 2007-2012
In honor of the IIF’s 30th Anniversary, we have published a special history book, Response to the Global Financial Crisis: 2007-2012. The book celebrates the important role that the IIF has played these past five years, including developing and disseminating industry best practices, expanding our array of analytical tools provided to our members, taking a leading role in dealing with Europe’s sovereign debt crisis, representing the interests of our members with regard to regulatory reform measures, and promoting sound policy recommendations for crisis prevention and resolution.
The book fully explores the recent work of the Institute in economic research, capital markets and emerging markets policy, and global financial regulation and industry practices. Also covered are the IIF Board of Directors, the Emerging Markets Advisory Council, an analysis of the IIF’s membership, and the IIF’s many global and regional events.
The book is a follow-up to The First 25 Years, published in 2007, which summarized the key issues in global finance since the IIF’s inception and how the role of the IIF has evolved over time to meet the changing needs of our members.