Crisis, Risk and Stability in Financial Markets

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Abstract

This book presents an in-depth appreciation of key topics related to the behaviour of financial institutions in the crisis and stresses areas of major research interest. It covers a selection of papers specialising ranging from the analysis of bank and stock market performance in the crisis, to other areas such as microinsurance and social lending.

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Crisis, Risk and Stability in Financial Markets. (2013). Crisis, Risk and Stability in Financial Markets. Palgrave Macmillan UK. https://doi.org/10.1057/9781137001832

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