A New Framework for Analyzing and Managing Macrofinancial Risks of an Economy
Year of publication: |
October 2006
|
---|---|
Authors: | Gray, Dale F. |
Other Persons: | Merton, Robert C. (contributor) ; Bodie, Zvi (contributor) |
Institutions: | National Bureau of Economic Research (contributor) |
Publisher: |
Cambridge, Mass : National Bureau of Economic Research |
Subject: | Risikomanagement | Risk management | Risiko | Risk | Messung | Measurement | Wirtschaftskrise | Economic crisis | Internationaler Finanzmarkt | International financial market | Volatilität | Volatility | Theorie | Theory |
-
On a new approach for analyzing and managing macrofinancial risks
Merton, Robert C., (2013)
-
A new framework for analyzing and managing macrofinancial risks of an economy
Gray, Dale, (2006)
-
A new framework for analyzing and managing macrofinancial risks of an economy
Gray, Dale, (2006)
- More ...
-
New Framework for Measuring and Managing Macrofinancial Risk and Financial Stability
Gray, Dale F., (2007)
-
The Design of Financial Systems : Towards a Synthesis of Function and Structure
Merton, Robert C., (2004)
-
Labor Supply Flexibility and Portfolio Choice in a Life-Cycle Model
Bodie, Zvi, (1992)
- More ...