10th anniversary of the BSI Gamma Foundation "The credit crisis: causes, effects, and lessons"
Topics of interest include the following: - Did securitization go wrong? - Did risk management go wrong? - Why is liquidity so volatile and how can we measure its risk? - Was there really systemic risk? - Was there a lack of appropriate due diligence? - How important are conflicts of interests for rating agencies? - Should the shadow banking system be regulated? - Has Basel II failed already? - What was the contribution of monetary policy to the crisis? - Are the markets for CDOs and credit derivatives efficient? - What happened in interbank and repo markets? - Are there useful lessons from past financial crises? - How should fixed-income portfolios be managed in light of the recent events? - What is the role of ratings in portfolio management? - Did mark-to-market accounting contribute to the crisis? - Did financial globalization exacerbate the crisis? - How did the leverage of financial institutions affect the crisis?
|Deadline Call for Papers:||2008-05-25|
|Organizer:||BSI GAMMA Foundation FinRisk Swiss Finance Institute|
Professor René Stulz (e-mail: firstname.lastname@example.org; phone: 001 614 292 8449)
|Classification:||G1 - General Financial Markets ; G2 - Financial Institutions and Services|
|Event type:||Konferenzen, Tagungen; Conferences|
Persistent link: https://www.econbiz.de/10005875071