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Books & Chapters
Market Institutions and Financial Market Risk
Mark Carey
,
Anil Kashyap
,
Raghuram Rajan
&
René Stulz
, organizers
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Published Date
June 2012
Copyright
2012
PUBLISHER
:
Journal of Financial Economics 104 (3)
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Supported by the Alfred P. Sloan Foundation grant #2008-10-13
Table of Contents
Market Institutions, Financial Market Risks, and the Financial Crisis
Author(s):
Mark Carey
,
Anil K Kashyap
,
Raghuram Rajan
&
René M. Stulz
Securitized Banking and the Run on Repo
Author(s):
Gary Gorton
&
Andrew Metrick
Neglected Risks, Financial Innovation, and Financial Fragility
Author(s):
Nicola Gennaioli
,
Andrei Shleifer
&
Robert Vishny
Arbitrage Crashes and the Speed of Capital
Author(s):
Mark Mitchell
&
Todd Pulvino
The Role of Institutional Investors in Propagating the Crisis of 2007–2008
Author(s):
Alberto Manconi
,
Massimo Massa
&
Ayako Yasuda
Asset Commonality, Debt Maturity, and Systemic Risk
Author(s):
Franklin Allen
,
Ana Babus
&
Elena Carletti
Econometric Measures of Connectedness and Systemic Risk in the Finance and Insurance Sectors
Author(s):
Monica Billio
,
Mila Getmansky
,
Andrew W. Lo
&
Loriana Pelizzon
Related
Topics
Financial Economics
Financial Institutions
Corporate Finance
Portfolio Selection and Asset Pricing