The Asset Management Industry and Systemic Risk: Is There a Connection?
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References listed on IDEAS
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Cited by:
- Igor Kravchuk, 2019. "Management of Investment Funds Financial Fragility," Montenegrin Journal of Economics, Economic Laboratory for Transition Research (ELIT), vol. 15(4), pages 17-32.
- Lopez, Claude & Adams-Kane, Jonathon & Wilhelmus, Jakob, 2016. "Cross-Border Investment in Europe: From Macro to Financial Data," MPRA Paper 76622, University Library of Munich, Germany.
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More about this item
Keywords
systemic risk; asset managers; macroprudential policy; financial stability;All these keywords.
JEL classification:
- E6 - Macroeconomics and Monetary Economics - - Macroeconomic Policy, Macroeconomic Aspects of Public Finance, and General Outlook
- F4 - International Economics - - Macroeconomic Aspects of International Trade and Finance
- G1 - Financial Economics - - General Financial Markets
- G2 - Financial Economics - - Financial Institutions and Services
NEP fields
This paper has been announced in the following NEP Reports:- NEP-MAC-2016-07-09 (Macroeconomics)
- NEP-RMG-2016-07-09 (Risk Management)
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