- Title Pages
- National Bureau of Economic Research
- Relation of the Directors to the Work and Publications of the National Bureau of Economic Research
1Bank Trading Risk and Systemic Risk
2Estimating Bank Trading Risk
3How Do Banks Manage Liquidity Risk?
4Banking System Stability
5Bank Concentration and Fragility
6Systemic Risk and Hedge Funds
7Systemic Risk and Regulation
8Pillar 1 versus Pillar 2 under Risk Management
9Global Business Cycles and Credit Risk
10Implications of Alternative Operational Risk Modeling Techniques
11Practical Volatility and Correlation Modeling for Financial Market Risk Management
12Special Purpose Vehicles and Securitization
13Default Risk Sharing between Banks and Markets: The Contribution of Collateralized Debt Obligations
- Author Index
- Subject Index
- The Risks of Financial Institutions
- University of Chicago Press
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