Financial connections and systemic risk

Financial connections and systemic risk
Franklin Allen, Franklin Allen
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Last edited by MARC Bot
September 25, 2020 | History

Financial connections and systemic risk

"We develop a model where institutions form connections through swaps of projects in order to diversify their individual risk. These connections lead to two different network structures. In a clustered network groups of financial institutions hold identical portfolios and default together. In an unclustered network defaults are more dispersed. With long term finance welfare is the same in both networks. In contrast, when short term finance is used, the network structure matters. Upon the arrival of a signal about banks' future defaults, investors update their expectations of bank solvency. If their expectations are low, they do not roll over the debt and there is systemic risk in that all institutions are early liquidated. We compare investors' rollover decisions and welfare in the two networks"--National Bureau of Economic Research web site.

Publish Date
Language
English

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Cover of: Financial connections and systemic risk
Financial connections and systemic risk
2010, National Bureau of Economic Research
Electronic resource in English

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Book Details


Edition Notes

Title from PDF file as viewed on 8/19/2010.

Includes bibliographical references.

Also available in print.

System requirements: Adobe Acrobat Reader.

Mode of access: World Wide Web.

Published in
Cambridge, MA
Series
NBER working paper series -- working paper 16177, Working paper series (National Bureau of Economic Research : Online) -- working paper no. 16177.

Classifications

Library of Congress
HB1

The Physical Object

Format
Electronic resource

ID Numbers

Open Library
OL24417252M
LCCN
2010656187

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September 25, 2020 Edited by MARC Bot import existing book
November 9, 2010 Created by ImportBot initial import