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Financial Reforms and Financial Instability [PDF]

open access: possibleEnsayos Económicos, 2011
In this paper we analyze empirically the relationship between different financial reforms and financial instability. We also analyze the relationship between financial liberalization and financial instability, where financial liberalization is measure as an aggregate of different financial reforms.
Pablo Gluzmann, Martín Guzman
openaire  

Biology of Financial Market Instability

2016
Research in the biology of risk taking is today helping solve a problem identified in 1981 by Robert Shiller. In an influential article criticising the efficient markets hypothesis, Shiller demonstrated that ‘measures of stock price volatility over the past century appear to be far too high – five to thirteen times too high – to be attributed to new ...
Coates, John, Page, Lionel
openaire   +2 more sources

Neoliberalism and international financial instability

Review of Radical Political Economics, 2000
This paper attempts to expand upon a Minskian model of domestic financial crises to take account of the following international developments: capital inflows that increase financial fragility, foreign financing of deregulated domestic speculative markets, overcapacity in export markets, capital outflows leading to collapsing currencies, restrictive ...
openaire   +1 more source

Credit Risk and Financial Instability

Oxford Review of Economic Policy, 1999
Recent advances in modelling credit risk bring much greater discipline to the pricing of credit risk and should promote diversification by penalizing concentrations of credit risk with greater allocations of economic capital. Although these models perform well with regard to high-frequency hazards, they are ill equipped to deal with the low-frequency ...
openaire   +1 more source

A few observations on financial liberalization and financial instability

Review of Radical Political Economics, 1999
Recent studies have conjectured that there may be a link between financial liberalization (FL) and financial instability in emerging economies. Most of these studies, however, do not investigate whether emerging economies are, in fact, becoming structurally more vulnerable to currency and banking crises.
openaire   +1 more source

Financial Instability, Financial Culture and Financial Reform

2011
We consider the financial market meltdown of the years 2007-9 as resulting from both the typical mechanism of boom-bust cycles as well as a result of the financial market culture of excessive risk taking, leveraging and risk transfer. In this final chapter we thus will also review and discuss the recent efforts of financial reform from both ...
openaire   +1 more source

Financial instability: economic and financial perspectives

2018
Economists from Keynes (1936) to Minsky (1986) have recognized the fragility of markets and the impact of such fragility on the broader economy. In some contrast, academic finance has chosen to build a theoretical framework on an understanding of markets as efficient and in equilibrium. Such understanding has led to a theoretical framework that greatly
openaire   +1 more source

Navigating financial toxicity in patients with cancer: A multidisciplinary management approach

Ca-A Cancer Journal for Clinicians, 2022
Maria Pisu   +2 more
exaly  

Financial Instability and Financial Crises

2023
Granheim, Vilde Årtun   +1 more
openaire   +1 more source

Exploring the causal links between investor sentiment and financial instability: A dynamic macro-financial analysis

Journal of Economic Behavior and Organization, 2022
, Jean-Michel Sahut, Brahim Gaies
exaly  

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