Risk management in a volatile market
The September 2008 collapse of Lehman Brothers was the 9/11 on Wall Street. Since then, the global risk landscape has changed and swings in the equity markets have become more volatile Now, a study of statistically significant changes in global financial risks and sharp increases in conditional Valu...
Saved in:
Main Author: | Knowledge@SMU |
---|---|
Format: | text |
Language: | English |
Published: |
Institutional Knowledge at Singapore Management University
2012
|
Subjects: | |
Online Access: | https://ink.library.smu.edu.sg/ksmu/73 https://ink.library.smu.edu.sg/cgi/viewcontent.cgi?article=1072&context=ksmu |
Tags: |
Add Tag
No Tags, Be the first to tag this record!
|
Institution: | Singapore Management University |
Language: | English |
Similar Items
-
Financial Risk Management: Lessons from the Current Crisis ... So Far
by: Knowledge@SMU
Published: (2008) -
Following the financial crisis: risk and opportunities for Singapore
by: Knowledge@SMU
Published: (2009) -
Back to Basics: The Little Book That Still Beats the Market
by: Knowledge@SMU
Published: (2011) -
Value investment and Market timing: Opportunities in times of crises
by: Knowledge@SMU
Published: (2011) -
Filling stomachs worldwide with agriculture risk transfer solutions
by: Knowledge@SMU
Published: (2011)