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The recent increase came about as a direct result of the Fed’s decision to purchase securities and make loans to certain sectors and financial institutions. More specifically, the Fed financed these...
Financial constraints are not directly observable, so empirical research relies on indirect measures. We evaluate how well five popular measures (paying dividends, having a credit rating, and the Kapl...
We study the emergence of instabilities in a stylized model of a nancial market, when di erent market actors calculate prices according to di erent (local) market measures. We derive typical propert...
This paper is dedicated to the consistency of systemic risk mea-sures with respect to stochastic dependence. It compares two alter-native notions of Conditional Value-at-Risk (CoVaR) available in the ...
This paper investigates the common intuition suggesting that dur-ing crises the shape of the financial market clearly differentiates from that of random walk processes. In this sense, it challenges th...
In order to evaluate the quality of the scientific research, we introduce a new family of scientific performance measures, called Scientific Research Measures (SRM). Our proposal originates from the m...
When estimating the risk of a P&L from historical data or Monte Carlo simulation, the robustness of the estimate is important. We argue here that Hampel's classical notion of qualitative robustness is...
We provide a dual representation of quasiconvex conditional risk measures $% \rho $ defined on $L^{0}$ modules of the $L^{p}$ type. This is a consequence of more general result which extend the usual ...
The paper concerns primal and dual representations as well as time consistency of set-valued dynamic risk measures. Set-valued risk measures appear naturally when markets with transaction costs are co...
The Great East Japan Earthquake devastated the eastern regions of Japan on this March. Due to the nuclear accident caused by the earthquake, Japan’s Cabinet stated to revise energy policies. This arti...
The article discusses the phasing out plan of European Commission for the measures of Member States of the European Union (EU) against the financial and economic crisis. The exit, accordingly, was aim...
The article discusses the provisional measures regarding the management of transactions for derivative products of financial institutions from the 55th Chairman's Meeting of the China Banking Regulato...
The article focuses on the history of German state aid provided to Hypo Real Estate Holding AG (HRE), a company engaging in real estate financing. It says that HRE was one of leading financiers in com...
A proper framework for measuring and mitigating risk in dynamic settings is of utmost importance, on both a practical, as well as a theoretical level. In recent years, coherent risk measures have eme...
We discuss two distinct approaches, for distorting risk measures of sums of dependent random variables, which preserve the property of coherence. The first, based on distorted expectations, operates ...

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