Overview on the recent developments of banking and risk management
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文摘
This note aims at focusing at the recent developments in banking and risk management with a particular focus on empirical analyses about banks’ regulation and financial risk. It notably describes a financial atmosphere whereby, in response to the US subprime mortgage crisis and the continuing stress in financial markets, policymakers developed alternative monetary policies and regulators pursued different reforms and new regulations to overcome the effects of this crisis. To better understand these different changes and reforms, this note presents the 9 best articles selected from the second International Workshop on Market Microstructure and Nonlinear Dynamics (Paris, June 4–5, 2015, www.fmnd.fr) that focused on these topics. Interestingly, through these different contributions, this special issue has developed new insights about methodologies and quantitative risk management techniques that assess the effects of the financial crisis, explain its different challenges, and suggest some solutions.

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