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This chapter presents the historical context for the current state of financial information and risk management. In lieu of a comprehensive history, the authors discuss several broad historical themes in risk and finance: institutionalization, technology, globalization, and complexity, including...
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We provide a survey of 31 quantitative measures of systemic risk in the economics and finance literature, chosen to span key themes and issues in systemic risk measurement and management. We motivate these measures from the supervisory, research, and data perspectives in the main text and...
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We provide a survey of 31 quantitative measures of systemic risk in the economics and finance literature, chosen to span key themes and issues in systemic risk measurement and management. We motivate these measures from the supervisory, research, and data perspectives in the main text, and...
Persistent link: https://www.econbiz.de/10013008345