Francis X. Diebold is the Paul F. and E. Warren Shafer Miller Professor of Economics at the University of Pennsylvania and professor of finance and statistics at the university”s Wharton School.
Neil A. Doherty is the Frederick H. Ecker Professor of Insurance and Risk Management at the Wharton School.
Richard J. Herring is the Jacob Safra Professor of International Banking and professor of finance at the Wharton School.
7 كتب إلكترونية بواسطة Richard J. Herring
Yasuyuki Fuchita & Richard J. Herring: Prudent Lending Restored
There is little dispute that the mortgage meltdown of 2007, created by irresponsible lending and lax oversight, helped lead to the global financial crisis. Why were these securities backed by subprim …
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الإنجليزية
DRM
€38.05
Yasuyuki Fuchita & Richard J. Herring: After the Crash
A Brookings Institution Press and Nomura Institute of Capital Markets Research publication As the global economy continues to weather the effects of the recession brought on by the financial crisis o …
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الإنجليزية
DRM
€43.42
Yasuyuki Fuchita & Richard J. Herring: Growing Old
A Brookings Institution Press and Nomura Institute of Capital Markets Research publication While the immediate dangers from the recent financial crisis have abatedmuch ofthe financial system has retu …
EPUB
الإنجليزية
DRM
€43.59
Yasuyuki Fuchita & Richard J. Herring: Rocky Times
It has been four years since the financial crisis of 2008, and the global financial system still is experiencing malaise caused by high rates of unemployment; a lingering, unresolved supply of forecl …
EPUB
الإنجليزية
DRM
€43.66
Martin Neil Baily & Richard J. Herring: Financial Restructuring to Sustain Recovery
A Brookings Institution Press and Nomura Institute of Capital Markets Research publication The financial crisis of 200708 and the Great Recession caused more widespreadeconomic trauma than any event …
EPUB
الإنجليزية
DRM
€32.10
Francis X. Diebold & Neil A. Doherty: The Known, the Unknown, and the Unknowable in Financial Risk Management
A clear understanding of what we know, don’t know, and can’t know should guide any reasonable approach to managing financial risk, yet the most widely used measure in finance today–Value at Risk, or …
EPUB
الإنجليزية
DRM
€109.99
Richard J. Herring & Robert E. Litan: Financial Regulation in the Global Economy
In recent years, the major industrialized nations have developed cooperative procedures for supervising banks, harmonized their standards for bank capital requirements, and initiated cooperative unde …
EPUB
الإنجليزية
DRM
€21.82