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This book revolves around the concept of financial risk tolerance
and its role in financial markets. Bridging different literatures
and reviewing in detail the impact of European regulation on the
evolution of risk tolerance assessment, this book discusses the
intersection of scholarly research, practitioner experience and
current and likely normative developments. In particular, the book
focuses on the evolution of the debate on the suitability
questionnaire - a key tool introduced with the Markets in Financial
Instruments Directive (MiFID) and further developed with MiFID's
successor - comparing it with empirical evidence on financial risk
tolerance determinants, spanning from sociodemographic to
behavioral components and life events. The book also looks at the
future evolution of the normative framework post MiFID2 addressing
in detail two key trends that are already affecting the way in
which risk tolerance is dealt with in European financial markets -
sustainable development and fintech and roboadvisory. The book
includes an original survey run with financial market experts to
assess the perceptions regarding these two trends and includes
commentaries by a professional financial advisor on the key topics
discussed.
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