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Perspective on Systemic Risk Measurement
Nadeem Aftab
Accounting & Finance
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Dive into the research topics of 'Perspective on Systemic Risk Measurement'. Together they form a unique fingerprint.
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Keyphrases
Financial Institutions
100%
Systemic Risk Measures
100%
Financial System
66%
Non-financial Firms
66%
Vulnerability
33%
Lessons Learned
33%
Resource Allocation
33%
Venture Capital
33%
Interdependence
33%
Insurance Companies
33%
One-part
33%
Macroeconomic Factors
33%
Financial Stability
33%
Liquidity
33%
Mortgage
33%
Risk Management Model
33%
Domino Effect
33%
Corporate Investment
33%
Single Institution
33%
Macroeconomic Stability
33%
Risk Management Strategies
33%
Market Infrastructure
33%
System-wide Models
33%
Hedge Funds
33%
Contagion
33%
Funds of Funds
33%
Money Market Funds
33%
Recent Financial Crisis
33%
Payment Infrastructure
33%
Mutual Funds
33%
Financial Intermediaries
33%
Broker-dealers
33%
Economics, Econometrics and Finance
Industry
100%
Financial Institution
100%
Financial System
100%
Macroeconomics
100%
Venture Capital
50%
Financial Crisis
50%
Risk Management
50%
Mortgages
50%
Non-Bank Financial Institutions
50%
Insurance Company
50%
Money Market Fund
50%