The handbook of post crisis financial modelling

The handbook of post crisis financial modelli ...
Emmanuel Haven, Emmanuel Haven
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Last edited by ImportBot
October 11, 2020 | History

The handbook of post crisis financial modelling

"The 2008 financial crisis was a watershed moment which clearly influenced the public's perception of the role of 'finance' in society. Since 2008, a plethora of books and newspaper articles have been produced accusing the academic community of being unable to produce valid models which can accommodate those extreme events. This unique Handbook brings together leading practitioners and academics in the areas of banking, mathematics, and law to present original research on the key issues affecting financial modelling since the 2008 financial crisis. As well as exploring themes of distributional assumptions and efficiency the Handbook also explores how financial modelling can possibly be re-interpreted in light of the 2008 crisis"--

Publish Date
Publisher
Palgrave Macmillan
Language
English

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Edition Availability
Cover of: The handbook of post crisis financial modelling
The handbook of post crisis financial modelling
2015, Palgrave Macmillan
in English

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Book Details


Table of Contents

Machine generated contents note:
1. Financial Development And Financial Crises: Lessons From The Early United States; Peter L. Rousseau
2. Monetary Transmission And Regulatory Impacts: Empirical Evidence From The Post-Crisis Banking Literature; Jakovljevic Sanja, Hans Degryse And Steven Ongena
3. Market Discipline, Public Disclosure And Financial Stability; Rhiannon Sowerbutts And Peter Zimmerman
4. Strategic Monetary And Fiscal Policy Interaction In A Liquidity Trap; Ali Al-Nowaihi And Sanjit Dhami
5. Analyzing Bank Efficiency: Are 'Too-Big-To-Fail' Banks Efficient?; Hulusi Inanoglu, Michael Jacobs, Jr., Junrong Liu And Robin Sickles
6. Efficiency, Competition And The Shadow Price Of Capital; Thomas Weyman-Jones
7. Model-Free Methods In Valuation And Hedging Of Derivative Securities; Mark H.A. Davis
8. The Private Information Price Of Risk; Jerome Detemple And Marcel Rindisbacher
9. Evolutionary Behavioural Finance; Igor Evstigneev, Thorsten Hens, Klaus Reiner Schenk-Hoppe;
10. Post-Crisis Macrofinancial Modelling; Continuous Time Approaches: Jukka Isoha;ta;la;, Nataliya Klimenko And Alistair Milne
11. Recent Results On Operator Techniques In The Description Of Macroscopic Systems; F. Bagarello.

Edition Notes

Published in
New York

Classifications

Dewey Decimal Class
332.01/5195
Library of Congress
HB135 .H3576 2015, HG1-HG9999HF5691-571

The Physical Object

Pagination
pages cm

ID Numbers

Open Library
OL30398324M
ISBN 13
9781137494481
LCCN
2015029078

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October 11, 2020 Edited by ImportBot import existing book
September 21, 2020 Created by MARC Bot import new book