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Risk management in financial institutions

Author

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  • Ben S. Bernanke

Abstract

No abstract is available for this item.

Suggested Citation

  • Ben S. Bernanke, 2008. "Risk management in financial institutions," Proceedings 1070, Federal Reserve Bank of Chicago.
  • Handle: RePEc:fip:fedhpr:1070
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    Citations

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    Cited by:

    1. Justin O’Brien, 2009. "La crise mondiale de la titrisation et la dynamique des fonds souverains," Revue d'Économie Financière, Programme National Persée, vol. 9(1), pages 291-303.
    2. Rötheli, Tobias F., 2010. "Causes of the financial crisis: Risk misperception, policy mistakes, and banks' bounded rationality," Journal of Behavioral and Experimental Economics (formerly The Journal of Socio-Economics), Elsevier, vol. 39(2), pages 119-126, April.
    3. Justin O’Brien, 2009. "Global Securitization Crisis and Sovereign Wealth Funds," Revue d'Économie Financière, Programme National Persée, vol. 9(1), pages 271-282.
    4. Lim, Chu Yeong & Woods, Margaret & Humphrey, Christopher & Seow, Jean Lin, 2017. "The paradoxes of risk management in the banking sector," The British Accounting Review, Elsevier, vol. 49(1), pages 75-90.
    5. Duran, Miguel A. & Lozano-Vivas, Ana, 2013. "Off-balance-sheet activity under adverse selection: The European experience," Journal of Economic Behavior & Organization, Elsevier, vol. 85(C), pages 176-190.
    6. Akhigbe, Aigbe & McNulty, James E., 2011. "Bank monitoring, profit efficiency and the commercial lending business model," Journal of Economics and Business, Elsevier, vol. 63(6), pages 531-551.

    More about this item

    Keywords

    Risk management; Financial institutions;

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