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Regulating Systemic Risk of Financial Institutions

Regulating Systemic Risk of Financial Institutions is een boek van Stefan Schwerter;

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Understanding Systemic Risk in Global Financial Markets

An accessible and detailed overview of the risks posed by financial institutions Understanding Systemic Risk in Global Financial Markets;

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Coping with Financial Fragility and Systemic Risk

Coping with Financial Fragility and Systemic Risk identifies and discusses the sources of perceived fragility in financial institutions;

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Systemic Risk

Systemic Risk provides readers with a wide-ranging practical guide to systemic risk in the financial system. It challenges the notion that;

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Systemic Risk

Systemic Risk opens new ground in the study of financial crises. It treats the financial system as a complex adaptive system and shows how;

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Managing Extreme Financial Risk

shareholder value, and reduce systemic risk. Readable, coherent, and logical, Managing Extreme Financial Risk shows how extreme risk needs to be;

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Heads or Tails: Financial Disaster, Risk Management and Survival Strategy in the World of Extreme Risk

ensure reliable protection against extreme risks? Recent massive failures among large and respected financial institutions, clearly demonstrate;

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New Directions for Understanding Systemic Risk

of interbank funds; and for context, descriptions of how systemic risk in the financial system affects trading activities. Table of Contents;

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Governance & Control In Finance & Banking

scholars worldwide ever since. In this respect the vital importance of governance and risk issues for the financial sector was re-emphasized by;

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Heads or Tails

ensure reliable protection against extreme risks? Recent massive failures among large and respected financial institutions, clearly demonstrate;

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Systemic Risk

discusses the potential benefits and limitations of macroprudential policy efforts with a focus on systemic risk oversight and reform considerations.;

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Systemic Risk and Macroprudential Regulations

book emphasizes 'systemic risk' as the new-found villain of the financial space and narrates how such risk can be addressed through;

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Systemic Risk and Macroprudential Regulations

book emphasizes 'systemic risk' as the new-found villain of the financial space and narrates how such risk can be addressed through;

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Systemic Risk in the Financial Sector

be the potential triggers for such a collapse to occur in the future? Systemic Risk in the Financial Sector: Ten Years after the Great Crash;

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Globalization And Systemic Risk

financial crisis, they identify the relative strengths of the risk diversification and risk transmission processes and examine the empirical;

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Financial Crises and Programs

, as well as the systemic risk regulation of non-bank financial institutions. The last chapter looks at the politics and policies regulating;

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Assessing Risk Assessment

adequate foundation for modeling systemic and extreme risk in complex financial systems. He proposes a new class of models which focus on the;

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Systemic Risk

In the five years since the outbreak of one of the worst global financial crises, systemic risk has become a buzzword and developed into an;

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Systemic Risk Tomography

to conceive it as an "ensemble" of Sovereigns and Banks with other Financial Intermediaries and Corporations. Systemic Risk Tomography;

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Risk Management and Financial Institutions, Sixth Edition

The gold standard in financial risk management textbooks In the newly revised sixth edition of Risk Management and Financial Institutions;

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Financial Stability Oversight Council

of banking and securities market regulators. The council is charged with monitoring systemic risk in the financial system and coordinating several;

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Handbook On Systemic Risk

of systemic risks facing the global financial markets. The Handbook explores the multidisciplinary approaches to analyzing this risk, the data;

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Financial Risk Management For Dummies

Take the risk out of financial risk management Written by bestselling author and past winner of the GARP Award's Risk Manager of the Year;

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Risk Management and Financial Institutions

The most complete, up-to-date guide to risk management in finance Risk Management and Financial Institutions, Fifth Edition explains;

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Quantifying Systemic Risk

systemic risk. However, there is much debate about how this might be accomplished and whether it is even possible. A key issue is determining the;

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Risk Of Investment Products, The

risk. Lawmakers have been developing new rules that protect investors better than before. The purpose is to mitigate the risk of financial;

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The Evolution of China's Banking System, 1993-2017

help mitigate the risk of future financial crises and promote global financial stability.;

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