Governance and Risk Management Banking deregulation spurs risk-taking and innovation in borrowing firms Nov, 2022 | Article New research suggests competition that stems from deregulation can encourage riskier moves among financial borrowers. Keywords: CEOs debt economics entrepreneurship financial markets innovation regulation risk management Economics, Trade and Policy Corporate debt and inflation: what you need to know Sep, 2022 | Article While inflation can reduce business debt load long term, it can hurt banks’ balance sheets. What does that mean for policy response? Keywords: accounting corporate longevity debt financial markets global economy governance public policy regulation Finance, Investing and Accounting Credit default swaps cushion stock prices against credit downgrades Jul, 2019 | Article A study shows that credit default swaps have served as a stabilizing force, protecting against stock price plunges and higher borrowing costs when a firm receives a downgrade from a credit rating agency. Keywords: asset management business history debt financial markets global economy investing risk management stock exchange Economics, Trade and Policy Understanding social mobility Mar, 2018 | Podcast The myth of the American dream — and the difficulty of achieving it — played a prominent role in the election of US president Donald Trump. This podcast looks at social mobility: myth versus reality. Keywords: debt economics education and training employment equality labour relations public policy regulation Finance, Investing and Accounting Measuring market risk: the Fundamental Review of the Trading Book May, 2015 | Video Professor John Hull breaks down the concept of value at risk, and describes how markets — and regulators — measure risk in the markets. Keywords: debt financial markets investing pension management regulation risk management
Economics, Trade and Policy Corporate debt and inflation: what you need to know Sep, 2022 | Article While inflation can reduce business debt load long term, it can hurt banks’ balance sheets. What does that mean for policy response? Keywords: accounting corporate longevity debt financial markets global economy governance public policy regulation Finance, Investing and Accounting Credit default swaps cushion stock prices against credit downgrades Jul, 2019 | Article A study shows that credit default swaps have served as a stabilizing force, protecting against stock price plunges and higher borrowing costs when a firm receives a downgrade from a credit rating agency. Keywords: asset management business history debt financial markets global economy investing risk management stock exchange Economics, Trade and Policy Understanding social mobility Mar, 2018 | Podcast The myth of the American dream — and the difficulty of achieving it — played a prominent role in the election of US president Donald Trump. This podcast looks at social mobility: myth versus reality. Keywords: debt economics education and training employment equality labour relations public policy regulation Finance, Investing and Accounting Measuring market risk: the Fundamental Review of the Trading Book May, 2015 | Video Professor John Hull breaks down the concept of value at risk, and describes how markets — and regulators — measure risk in the markets. Keywords: debt financial markets investing pension management regulation risk management
Finance, Investing and Accounting Credit default swaps cushion stock prices against credit downgrades Jul, 2019 | Article A study shows that credit default swaps have served as a stabilizing force, protecting against stock price plunges and higher borrowing costs when a firm receives a downgrade from a credit rating agency. Keywords: asset management business history debt financial markets global economy investing risk management stock exchange Economics, Trade and Policy Understanding social mobility Mar, 2018 | Podcast The myth of the American dream — and the difficulty of achieving it — played a prominent role in the election of US president Donald Trump. This podcast looks at social mobility: myth versus reality. Keywords: debt economics education and training employment equality labour relations public policy regulation Finance, Investing and Accounting Measuring market risk: the Fundamental Review of the Trading Book May, 2015 | Video Professor John Hull breaks down the concept of value at risk, and describes how markets — and regulators — measure risk in the markets. Keywords: debt financial markets investing pension management regulation risk management
Economics, Trade and Policy Understanding social mobility Mar, 2018 | Podcast The myth of the American dream — and the difficulty of achieving it — played a prominent role in the election of US president Donald Trump. This podcast looks at social mobility: myth versus reality. Keywords: debt economics education and training employment equality labour relations public policy regulation Finance, Investing and Accounting Measuring market risk: the Fundamental Review of the Trading Book May, 2015 | Video Professor John Hull breaks down the concept of value at risk, and describes how markets — and regulators — measure risk in the markets. Keywords: debt financial markets investing pension management regulation risk management
Finance, Investing and Accounting Measuring market risk: the Fundamental Review of the Trading Book May, 2015 | Video Professor John Hull breaks down the concept of value at risk, and describes how markets — and regulators — measure risk in the markets. Keywords: debt financial markets investing pension management regulation risk management