What Happened to Risk Management During the 2008-09 Financial Crisis?
Year of publication: |
2009-08-18
|
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Authors: | McAleer, Michael ; Jimenez-Martin, Jimenez-Martin, J-A. ; Perez-Amaral, Perez-Amaral, T. |
Institutions: | Faculteit der Economische Wetenschappen, Erasmus Universiteit Rotterdam |
Subject: | aggressive risk strategy | conservative risk strategy | risk management | value-at-risk forecast | violations |
Extent: | application/pdf |
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Series: | Econometric Institute Research Papers. - ISSN 1566-7294. |
Type of publication: | Book / Working Paper |
Notes: | The text is part of a series RePEc:ems:eureir Number EI 2009-17 |
Classification: | C22 - Time-Series Models ; C53 - Forecasting and Other Model Applications ; G11 - Portfolio Choice ; G17 - Financial Forecasting ; G32 - Financing Policy; Capital and Ownership Structure |
Source: |
-
What Happened to Risk Management During the 2008-09 Financial Crisis?
Jimenez-Martin, Juan Angel Jimenez Martin, (2009)
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What Happened to Risk Management During the 2008-09 Financial Crisis?
McAleer, M.J., (2009)
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It Pays to Violate: How Effective are the Basel Accord Penalties?
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