Economics, Trade and Policy When it comes to mortgage refinancing, it pays to talk to your neighbour May, 2024 | Article Social interactions with local communities can have a significant financial benefit for homeowners, but not all neighbourhoods or communities benefit equally. Keywords: debt economics equality inclusion inclusive economy networking wealth creation Finance, Investing and Accounting BLM protests moved the needle on the mortgage interest rate gap May, 2024 | Article A new study shows that housing discrimination decreased in American counties that hosted BLM protests. Keywords: business ethics corporate social responsibility crisis management debt financial markets inclusive economy public policy social movements Economics, Trade and Policy What can we learn from Canada's response to inflation in the '80s and '90s? Mar, 2024 | Opinion While shelter and food price inflation will moderate, don’t expect actual prices to revert back to pre-pandemic levels, write professors Walid Hejazi and Laurence Booth. Keywords: debt economics global economy government politics public policy regulation Governance and Risk Management Banking deregulation sparks innovation: Research reveals surprising effects on risk and innovation in companies 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 CDS: A surprising stabilizing force amid financial crisis criticism 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 BLM protests moved the needle on the mortgage interest rate gap May, 2024 | Article A new study shows that housing discrimination decreased in American counties that hosted BLM protests. Keywords: business ethics corporate social responsibility crisis management debt financial markets inclusive economy public policy social movements Economics, Trade and Policy What can we learn from Canada's response to inflation in the '80s and '90s? Mar, 2024 | Opinion While shelter and food price inflation will moderate, don’t expect actual prices to revert back to pre-pandemic levels, write professors Walid Hejazi and Laurence Booth. Keywords: debt economics global economy government politics public policy regulation Governance and Risk Management Banking deregulation sparks innovation: Research reveals surprising effects on risk and innovation in companies 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 CDS: A surprising stabilizing force amid financial crisis criticism 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 What can we learn from Canada's response to inflation in the '80s and '90s? Mar, 2024 | Opinion While shelter and food price inflation will moderate, don’t expect actual prices to revert back to pre-pandemic levels, write professors Walid Hejazi and Laurence Booth. Keywords: debt economics global economy government politics public policy regulation Governance and Risk Management Banking deregulation sparks innovation: Research reveals surprising effects on risk and innovation in companies 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 CDS: A surprising stabilizing force amid financial crisis criticism 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
Governance and Risk Management Banking deregulation sparks innovation: Research reveals surprising effects on risk and innovation in companies 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 CDS: A surprising stabilizing force amid financial crisis criticism 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 CDS: A surprising stabilizing force amid financial crisis criticism 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 CDS: A surprising stabilizing force amid financial crisis criticism 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