Risk Topography

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Risk Topography

Systemic Risk and Macro Modeling

Macroeconomics Finance and the finance industry Business and Management

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Language: English

Published by: University of Chicago Press

Published on: 17th October 2014

Format: LCP-protected ePub

Size: 5 Mb

ISBN: 9780226092645


Recent Financial Crisis and the Need for Improved Macroeconomic Models

The recent financial crisis and the difficulty of using mainstream macroeconomic models to accurately monitor and assess systemic risk have stimulated new analyses of how we measure economic activity and the development of more sophisticated models in which the financial sector plays a greater role.

Contributions from Leading Experts

Markus Brunnermeier and Arvind Krishnamurthy have assembled contributions from leading academic researchers, central bankers, and other financial-market experts to explore the possibilities for advancing macroeconomic modeling in order to achieve more accurate economic measurement.

Focus of the Essays

Essays in this volume focus on the development of models capable of highlighting the vulnerabilities that leave the economy susceptible to adverse feedback loops and liquidity spirals. While these types of vulnerabilities have often been identified, they have not been consistently measured.

Importance of the Volume

In a financial world of increasing complexity and uncertainty, this volume is an invaluable resource for policymakers working to improve current measurement systems and for academics concerned with conceptualizing effective measurement.

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