The Risks of Financial Institutions
Mark Carey and
René Stulz
in NBER Books from National Bureau of Economic Research, Inc
JEL-codes: D8 G1 G2 (search for similar items in EconPapers)
Date: 2007
Note: CF AP
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Citations: View citations in EconPapers (19)
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Chapters in this book:
- Introduction to "The Risks of Financial Institutions" , pp 1-25

- Mark Carey and René Stulz
- Bank Trading Risk and Systemic Risk , pp 29-57

- Philippe Jorion
- Estimating Bank Trading Risk. A Factor Model Approach , pp 59-91

- James M. O'Brien and Jeremy Berkowitz
- How Do Banks Manage Liquidity Risk? Evidence from the Equity and Deposit Markets in the Fall of 1998 , pp 105-127

- Evan Gatev, Til Schuermann and Philip Strahan
- Banking System Stability. A Cross-Atlantic Perspective , pp 133-188

- Philipp Hartmann, Stefan Straetmans and Casper de Vries
- Bank Concentration and Fragility. Impact and Mechanics , pp 196-231

- Thorsten Beck
- Systemic Risk and Hedge Funds , pp 235-330

- Nicholas Chan, Mila Getmansky, Shane M. Haas and Andrew Lo
- Systemic Risk and Regulation , pp 341-368

- Franklin Allen and Douglas Gale
- Pillar 1 versus Pillar 2 under Risk Management , pp 377-409

- Loriana Pelizzon and Stephen Schaefer
- Global Business Cycles and Credit Risk , pp 419-469

- Mohammad Pesaran, Til Schuermann and Bjorn-Jakob Treutler
- Implications of Alternative Operational Risk Modeling Techniques , pp 475-505

- Patrick de Fontnouvelle, Eric Rosengren and John Jordan
- Practical Volatility and Correlation Modeling for Financial Market Risk Management , pp 513-544

- Torben Andersen, Tim Bollerslev, Peter Christoffersen and Francis Diebold
- Special Purpose Vehicles and Securitization , pp 549-597

- Gary Gorton and Nicholas Souleles
- Default Risk Sharing between Banks and Markets: The Contribution of Collateralized Debt Obligations , pp 603-631

- Günter Franke and Jan Krahnen
Related works:
Working Paper: The Risks of Financial Institutions (2005) 
Working Paper: The Risks of Financial Institutions (2005) 
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