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Financial Markets - Imperfect Information and Risk Management (Paperback, 1st ed. 2001)
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Financial Markets - Imperfect Information and Risk Management (Paperback, 1st ed. 2001)
Series: Central Issues in Contemporary Economic Theory and Policy
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This volume analyzes in great detail the problem of information and
risk management. Both topics are a central issue in current
financial and monetary economic literature. Several recent
theoretical and empirical contributions consider asymmetric
information between investors and financiers as a major determinant
of financial risk. In this framework, we may regard financial and
banking innovation as, on one hand, policy and individual agents'
response to the problem of asymmetric information and risk
management and, on the other, as a self-generated innovation
process posing new challenges to policymakers in terms of
information efficiency and risk control. This volume concentrates
on one of the most important directions for research on banking and
finance for the next decade.
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