Risk Management in Volatile Financial Markets

Risk Management in Volatile Financial Markets
Author: Franco Bruni
Publisher: Springer Science & Business Media
Total Pages: 374
Release: 2012-12-06
Genre: Business & Economics
ISBN: 146131271X

Download Risk Management in Volatile Financial Markets Book in PDF, Epub and Kindle

intense competition on banks and other financial institutions, as a period of oligopoly ends: more rather than less innovation is needed to help share undi versifiable risks, with more attention to correlations between different risks. Charles Goodhart of the London School of Economics (LSE), while ques tioning the idea that volatility has increased, concludes that structural changes have made regulation more problematic and calls for improved information availability on derivatives transactions. In a thirteen country case study of the bond market turbulence of 1994, Bo rio and McCauley of the BIS pin the primary causes of the market decline on the market's own dynamics rather than on variations in market participants' apprehensions about economic fundamentals. Colm Kearney of the Univer sity of Western Sydney, after a six country study of volatility in economic and financial variables, concludes that more international collaboration in man aging financial volatility (other than in foreign exchange markets) is needed in Europe. Finally, Stokman and Vlaar of the Dutch central bank investigate the empirical evidence for the interaction between volatility and international transactions in real and financial assets for the Netherlands, concluding that such influence depends on the chosen volatility measure. The authors sug gest that there are no strong arguments for international restrictions to reduce volatility. INSTITUTIONAL ISSUES AND PRACTICES The six papers in Part C focus on what market participants are doing to manage risk.


Risk Management in Volatile Financial Markets
Language: en
Pages: 374
Authors: Franco Bruni
Categories: Business & Economics
Type: BOOK - Published: 2012-12-06 - Publisher: Springer Science & Business Media

GET EBOOK

intense competition on banks and other financial institutions, as a period of oligopoly ends: more rather than less innovation is needed to help share undi vers
Options for Volatile Markets
Language: en
Pages: 224
Authors: Richard Lehman
Categories: Business & Economics
Type: BOOK - Published: 2011-08-09 - Publisher: John Wiley & Sons

GET EBOOK

Practical option strategies for the new post-crisis financial market Traditional buy-and-hold investing has been seriously challenged in the wake of the recent
Investment Risk Management
Language: en
Pages: 709
Authors: Harold Kent Baker
Categories: Business & Economics
Type: BOOK - Published: 2015 - Publisher: Oxford University Press, USA

GET EBOOK

Investment Risk Management provides an overview of developments in risk management and a synthesis of research on the subject. The chapters examine ways to alte
Managing Operational Risk in Financial Markets
Language: en
Pages: 292
Authors: Amanat Hussain
Categories: Business & Economics
Type: BOOK - Published: 2000-06-05 - Publisher: Butterworth-Heinemann

GET EBOOK

Risk management is one of the biggest issues facing the financial markets today. This volume outlines the major issues for risk management and focuses on operat
Strategic Risk Management
Language: en
Pages: 262
Authors: Campbell R. Harvey
Categories: Business & Economics
Type: BOOK - Published: 2021-05-04 - Publisher: John Wiley & Sons

GET EBOOK

STRATEGIC RISK MANAGEMENT Having just experienced a global pandemic that sent equity markets into a tailspin in March 2020, risk management is a more relevant t