Crisis and confusion. Some ideas to understand the situation current
Keywords:
financial crisis, financial regulation, quantitative models, behavioural financeAbstract
After a brief clarification in reference to this crisis’ nature, the author analyzes the role of financial regulation considering its implementation and its cultural aspects. He then examines the quantitative prediction models. The article also highlights the importance of the approach of behavioural finance in the study of the crisis process. Finally, a comment on the debate on the freedom of markets is presented.
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References
AA.VV. (1983), Enciclopedia Práctica de Economía, Hyspamérica Ediciones, Madrid.
Bogle, R. (2008), “Black Monday and Black Swans”, Financial Analysts Journal, Marzo-Abril 2008, Virginia.
Fabozzi et al, (2008) Challenges in Quantitative Equity Management, The Research Foudation of the CFA Institute, Virginia.
Zamagni, S. (2005), Disertación en ACDE (Asociación Cristiana de Dirigentes de Empresa), Buenos Aires.
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