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Systemic Risk during the Global Financial Crisis: Symptoms and Mechanisms of Propagation

Author

Listed:
  • Adrian Pop

    (Nantes Univ - IAE Nantes - Nantes Université - Institut d'Administration des Entreprises - Nantes - Nantes Université - pôle Sociétés - Nantes Univ - Nantes Université)

Abstract

The aim of this chapter is to discuss the triggers, the symptoms, and the originality of the subprime crisis. We describe the main propagation mechanisms and attempt to explain the role of the loan securitization in the transmission of the shock wave. Then, we present the various faces of systemic risk, defined as the risk of collapse of the entire financial system. Finally, we propose a set of concluding remarks and a glossary of technical terms.

Suggested Citation

  • Adrian Pop, 2014. "Systemic Risk during the Global Financial Crisis: Symptoms and Mechanisms of Propagation," Post-Print hal-04212942, HAL.
  • Handle: RePEc:hal:journl:hal-04212942
    as

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