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Financial Innovation: What Have We Learnt?

In: Lessons from the Financial Turmoil of 2007 and 2008

Contents:

Author Info

  • Nigel Jenkinson

    (Bank of England)

  • Adrian Penalver

    (Bank of England)

  • Nicholas Vause

    (Bank of England)

Registered author(s):

    Abstract

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    File URL: http://www.rba.gov.au/publications/confs/2008/pdf/jenkinson-penalver-vause.pdf
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    Bibliographic Info

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    This chapter was published in: Paul Bloxham & Christopher Kent (ed.) Lessons from the Financial Turmoil of 2007 and 2008, Reserve Bank of Australia, pages , 2008.

    This item is provided by Reserve Bank of Australia in its series RBA Annual Conference Volume with number acv2008-04.

    Handle: RePEc:rba:rbaacv:acv2008-04

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    Phone: 61-2-9551-8111
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    Related research

    Keywords: capital regulations; disintermediation; financial innovation;

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    Cited by:
    1. De La Motte, Laura & Czernomoriez, Janna & Clemens, Marius, 2010. "Zur Vertrauensökonomik: Der Interbankenmarkt in der Krise von 2007-2009
      [Economics of trust: The interbank market during the crisis 2007-2009]
      ," MPRA Paper 20357, University Library of Munich, Germany.
    2. Aldo Montesano, 2009. "Risk allocation and uncertainty: some unpleasant outcomes of financial innovation," International Review of Economics, Springer, vol. 56(3), pages 243-250, September.
    3. Leo F. Goodstadt, 2009. "The Global Crisis: Fatal Decisions - Four Case Studies in Financial Regulation," Working Papers 332009, Hong Kong Institute for Monetary Research.

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