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Bubbles, Financial Crises, and Systemic Risk

Authors :
Markus K. Brunnermeier
Martin Oehmke
Publication Year :
2013
Publisher :
Elsevier, 2013.

Abstract

This chapter surveys the literature on bubbles, financial crises, and systemic risk. The first part of the chapter provides a brief historical account of bubbles and financial crisis. The second part of the chapter gives a structured overview of the literature on financial bubbles. The third part of the chapter discusses the literatures on financial crises and systemic risk, with particular emphasis on amplification and propagation mechanisms during financial crises, and the measurement of systemic risk. Finally, we point toward some questions for future research.

Details

Database :
OpenAIRE
Accession number :
edsair.doi...........79b7d4090a0f243c500177aa44b81d53
Full Text :
https://doi.org/10.1016/b978-0-44-459406-8.00018-4