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Springer - Coping with Financial Fragility and Systemic Risk

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Description

Gain a deep understanding of market stability with Coping with Financial Fragility and Systemic Risk by Springer. This volume, part of the Financial and Monetary Policy Studies series, explores the origins of perceived fragility within financial institutions and markets. It provides a clear look at how these vulnerabilities can impact the broader economy. The text moves beyond identifying problems to exploring practical applications. You will read about private sector solutions designed to manage systemic risk and lessen economic consequences. Additionally, the book provides a detailed examination of regulatory solutions intended to address these complex financial challenges. This resource is an essential addition for those studying macroeconomics and the mechanics of financial stability.

Key Features

Identifies the specific sources of perceived fragility found in modern financial institutions and markets.

Analyzes the potential consequences that financial instability can have throughout the entire economy.

Examines various private sector solutions used to deal with systemic risk and mitigate negative impacts.

Provides a thorough look at regulatory solutions designed to manage financial problems and instability.

Serves as part of the specialized Financial and Monetary Policy Studies series for academic depth.

Product Specifications

Format
paperback
Domain
Amazon UK
Release Date
03 December 2010
Listed Since
14 June 2010

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