Chapter 1. Introduction.- Chapter 2. Keynote: The G-20 since 2008: Some reflections on the experience and the road ahead.- Part I: Eurozone Crisis: Short-Run Challenges and Options.- Chapter 3. Overcoming the Euro Area Crisis: Reforms and Results.- Chapter 4. Predicting the Euro: A Practitioner’s Perspective.- Chapter 5. Monetary Integration in Europe and the Drawbacks of Centralization.- Chapter 6. Reflections on the Euro Crisis.- Part II: Rebalancing the Global Economy.- Chapter 7. The G20, IMF and Global Imbalances: The Policy Makers Perspective.- Chapter 8. Global Imbalances: Causes and Policies to Address Them.- Chapter 9. Exchange Rate Flexibility and Economic Rebalancing in China.- Chapter 10. Global Imbalances and Financial Fragility.- Part III: Financial Sector Regulation.- Chapter 11. Financial Regulatory Reforms: Not far enough or Overkill?.- Chapter 12. Asian Perspectives for Financial Regulatory Reforms after the Global Financial Crisis (GFC).- Chapter 13. The Challenge of Financial Stability and Regulation from a European Perspective.- Chapter 14. Financial Regulatory Reforms: Striking a Balance.- Part IV: A New Framework for Reforming the International Monetary System.- Chapter 15. Reforming the International Monetary System: an Institutional Perspective.- Chapter 16. Strengthening the International Monetary System.- Chapter 17. System Sudden Stop(s), Credit Lines, and Funding Liquidity.- Part V: Capital Controls and Emerging Market Economies (EMEs).- Chapter 18. Policy Tradeoffs in an Open Economy and the Role of G-20 in Global Macroeconomic Policy Coordination.- Chapter 19. Managing the Risks Associated with Volatile Capital Flows.- Chapter 20. On an Asian Monetary Union: What Does the Evidence tell Us?.- Part VI: Austerity and Growth.- Chapter 21. The Macro-economic Policy Response to the International Financial and Economic Crisis and the G20.- Chapter 22. Austerity, Growth, and Public Policy.- Chapter 23. India and Fiscal Austerity.