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We present two alternative approaches for estimating VaR. Both approaches are based on the observation that each trading day is very diverse and we can observe K different phases of the trading day. W...
The article deals with the liquidity risk in the banks in the context of the financial crisis. At first, the balance sheet and market liquidity are defined and the main principles of the methods for m...
We investigate the empirical relation between risk sharing and specialization in production. We find that there is more risk sharing among regions within countries than among countries and that...
The Administration’s plan for financial regulatory reform would grant the Federal Reserve significant new powers—more powers than ever before in American history. The Federal Reserve would have the ...
The ongoing financial crisis has given a new urgency to this question. Government officials are now proposing legislation to expand significantly the role of government in the financial sector and b...
The more restrictive the definition and the more credibly it is adhered to by policy makers, the fewer bailouts we would see. Recognizing that bailouts are unavailable except in the most unlikely c...
An important issue in addressing the adequacy of regulation and supervision is the problem of regulatory capture, or the tendency for regulated fi rms and their government regulators to develop mutu...
Many researchers have used federal funds futures rates as measures of financial markets’ expectations of future monetary policy. However, to the extent that federal funds futures reflect...
There exists objective and inherent logical relationship between financial prosperity and enterprise expansion risk. This paper divides financial prosperity monitoring indicators into leading indicato...
华中科技大学投资学课件Chapter5 Risk and Risk Aversion。
Do a Firm's Equity Returns Reflect the Risk of Its Pension Plan?
Traditional conventions of accounting and actuarial science distort the valuation of capital risk in corporations with pension plans because under these conventions, pension assets and liabilities are...
Minimum capital requirements are a central tool of banking regulation. Setting them balances a number of factors, including any effects on the cost of capital and in turn the rates available to borrow...
This paper proposes a new approach to improve the way central banks can analyze and manage the financial risks of a national economy. It is based on the modern theory and practice of contingent claims...

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