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Negative and Positive Lessons from the 2007-2008 Financial Crisis

The result's identifiers

  • Result code in IS VaVaI

    <a href="https://www.isvavai.cz/riv?ss=detail&h=RIV%2F00216275%3A25410%2F09%3A00009251" target="_blank" >RIV/00216275:25410/09:00009251 - isvavai.cz</a>

  • Result on the web

  • DOI - Digital Object Identifier

Alternative languages

  • Result language

    angličtina

  • Original language name

    Negative and Positive Lessons from the 2007-2008 Financial Crisis

  • Original language description

    While the form of crises may change, their essence remains the same (e.g. a cycle of abundant liquidity, rapid credit growth, and a low-inflation environment followed by an asset-price bubble). The current market turbulence began in mid-2000s. We see twokey causes of these problems - loose US monetary policy in early 2000s and US government guarantees issued on the securities by government. We address key risk management lessons derived from the current crisis and recommend policies that should help diminish the negative impact of future potential crises.

  • Czech name

  • Czech description

Classification

  • Type

    D - Article in proceedings

  • CEP classification

    AH - Economics

  • OECD FORD branch

Result continuities

  • Project

  • Continuities

    V - Vyzkumna aktivita podporovana z jinych verejnych zdroju

Others

  • Publication year

    2009

  • Confidentiality

    S - Úplné a pravdivé údaje o projektu nepodléhají ochraně podle zvláštních právních předpisů

Data specific for result type

  • Article name in the collection

    Global Conference on Business and Finance Proceedings

  • ISBN

  • ISSN

    1931-0285

  • e-ISSN

  • Number of pages

    10

  • Pages from-to

  • Publisher name

    The Institute for Business and Finance Research

  • Place of publication

    Hilo

  • Event location

    San Jose, Costa Rica

  • Event date

    May 30, 2009

  • Type of event by nationality

    WRD - Celosvětová akce

  • UT code for WoS article