Volume 96 of Contemporary Studies in Economic and Financial
Analysis provides further insights to postcrisis developments in
the global economic and financial environment. Risk Management Post
Financial Crisis: A Period of Monetary Easing includes papers from
leading authors from central banks, worldrenowned universities and
international organisations. Topics and issues addressed by this
volume include: an overview of advances in risk management in the
post financial crisis environment, the impact that complexity
present in financial returns now plays in measuring reporting and
risk, the role that sentiment and herding plays in distorting
prices in financial markets, the procyclical impact of Basel III
including effects on capital requirements and bank balance sheets,
central bank monetary policies and bank liquidity in a world
without quantitative easing, credit risk assessment and bank
lending, and changes in the structure of international financial
markets, including the rise and impact of financial markets in
China and those financial products denominated in RMB.
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